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cp05-28-19C
Hutchinson City Center
111 Hassan Street SE
Hutchinson, MN 55350-2522
Phone 320-587-5151, Fax 320-234-4240
CITY OF HUTCHINSON
MCLEOD COUNTY
HUTCHINSON, MINNESOTA
NOTICE OF A SPECIAL CITY COUNCIL WORKSHOP
Tuesday, May 28, 2019
4:00 p.m.
Council Chambers — Hutchinson City Center
Notice is hereby given that the Hutchinson City Council has called a special workshop meeting
for Tuesday, May 28, 2019, at 4:00 p.m. in the Council Chambers at the Hutchinson City Center,
111 Hassan Street SE, Hutchinson, Minnesota for the following purpose:
BUDGET WORKSHOP # 1
DATED: May 23, 2019
POSTED: City Center
�•------ram-- -- �f�._
Matthew ]a , City Admini or
HUTCHINSON CITY COUNCIL
MEETING AGENDA
TUESDAY, MAY 28, 2019
CITY CENTER — COUNCIL CHAMBERS
(The City Council is provided background information for agenda items in advance by city staff, committees and boards. Many
decisions regarding agenda items are based upon this information as well as: Citypolicy andpractices, inputfrom constituents,
and other questions or information that has not yet been presented or discussed regarding an agenda item)
1. CALL MEETING TO ORDER — 5:30 P.M.
(a) Approve the Council agenda and any agenda additions and/or corrections
2. INVOCATION —None
(The invocation is a voluntary expression of the private citizen, to and for the City Council, and is not intended to affiliate the
City Council with, or express the City Council's preference for, any religious/spiritual organization. The views or beliefs
expressed by the invocation speaker have not been previously reviewed or approved by the Council or staff)
3. PLEDGE OF ALLEGIANCE
4. RECOGNITION OF GIFTS, DONATIONS AND COMMUNITY SERVICE TO THE CITY
(a) Resolution No. 15064 — Resolution Accepting $50.00 Donation from Bruce and Gladys Lickfelt
to the Hutchinson Police Department Towards the Law Enforcement Memorial Park Fund
PUBLIC COMMENTS
(This is an opportunity or members of the public to address the City Council. If the topic you would like to discuss is on the
agenda, please ask the Mayor if he will be accepting public comments during the agenda item if not a public hearing. If you have
a question, concern or comment, please ask to e recognized by the mayor — state your name and address for the record. Please
keep comments under 5 minutes. Individuals wishing to speak for more than five minutes should ask to be included on the agenda
in advance of the meeting. All comments are appreciated, but please refrain from personal or derogatory attacks on individuals)
5. CITIZENS ADDRESSING THE CITY COUNCIL
6. APPROVAL OF MINUTES
(a) Regular Meeting of May 14, 2019
(b) Workshop of May 14, 2019
CONSENT AGENDA
(The items listedjor consideration will be enacted by one motion unless the Mayor, a member of the City Council or
a city staff member requests an item to be removed. Traditionally items are not discussed.)
7. APPROVAL OF CONSENT AGENDA I
(a) Consideration for Approval of Non -Waiver of Tort Liability Limits for General Liability
(b) Consideration for Approval of Shady Ridge and Delaware Lift Stations Control Panel Equipment
Procurement
(c) Consideration for Approval of Resolution No. 15060 — Resolution to Sell at Auction Surplus
Property (Police Department Vehicles)
CITY COUNCIL AGENDA May 28, 2019
(d) Consideration for Approval of Resolution No. 15062 — South Grade Road SW Parking
Restrictions
(e) Consideration for Approval of Resolution No. 15063 — Resolution to Sell at Auction Surplus
Property (Dodge Dakota)
(f) Board Appointment/Reappointment
1. Todd Brandel to Police Commission to May 2022
2. Jared Golde to Pioneerland Library System
(g) Claims, Appropriations and Contract Payments
PUBLIC HEARINGS — 6:00 P.M. - NONE
purpose o t is portion o t e agen a is to provi e the Councilwith information necessary to craft wise policy.
ides items like monthly or annual reports and communications from other entities.)
8. REVIEW OF CITY WATER -WASTEWATER STUDY RATE STRUCTURE
RECOMMENDATION
UNFINISHED BUSINESS
9. APPROVE/DENY 2019 ASH TREE REMOVAL -REPLACEMENT PROJECT
10. APROVE/DENY SECOND READING AND ADOPTION OF ORDINANCE NO. 19-800 —
GRANTING A FRANCHISE TO HTI/TDK AND UPONOR TO ERECT COMMERCIAL
SIGNAGE IN THE CITY RIGHT-OF-WAY OF TECHNOLOGY DRIVE NE
NEW BUSINESS
11. APPROVE/DENY WAIVING VMF FIELD RENTAL FEES FOR THE HUTCHINSON HUSKIES
TO HOST THE REGION 12C 2019 TOURNAMENT FROM JULY 31 — AUGUST 11, 2019
12. APPROVE/DENY PURCHASE OF ZAMBONI ICE RESURFACER
13. APPROVE/DENY FIRST READING OF ORDINANCE NO. 19-801 - AN ORDINANCE
SUSPENDING ENFORCEMENT OF SECTION 92.018 OF THE CITY CODE PERTAINING TO
HOURS OF CONSTRUCTION DURING THE 5TH AVENUE SOUTH RECONSTRUCTION
PROJECT
14. APPROVE/DENY SETTING COUNCIL WORKSHOP WITH HRA BOARD ON JUNE 11, 2019,
AT 4:00 P.M.
15. APPROVE/DENY SETTING COUNCIL WORKSHOP ON JULY 9, 2019, AT 4:30 P.M. TO
REVIEW 2019 AUDIT REPORT
2
CITY COUNCIL AGENDA May 28, 2019
GOVERNANCE
(T e purpose o t is portion of the agenda is to deal with organizational development issues, including policies,
performances, and other matters that manage the logistics of the organization. May include monitoring reports,
policy development and governance process items.)
16. MINUTES/REPORTS FROM COMMITTEES, BOARDS OR COMMISSIONS
(a) City of Hutchinson Financial Report and Investment Report for April 2019
�b) Hutchinson Housing & Redevelopment Authority Board Minutes from April 16, 2019
c) Library Board Minutes from March 25 and April 22, 2019
(d) Hutchinson Utilities Commission Minutes from March 27, 2019
MISCELLANEOUS
17. STAFF UPDATES
18. COUNCIL/MAYOR UPDATE
ADJOURNMENT
CITY OF HUTCHINSON RESOLUTION
NO. 15064
RESOLUTION ACCEPTING DONATION
WHEREAS, the City of Hutchinson is generally authorized to accept donations of real and
personal property pursuant to Minnesota Statutes Section 465.03 for the benefit of its citizens,
and is specifically authorized to accept gifts and bequests for the benefit of recreational services
pursuant to Minnesota Statutes Section 471.17,- and
WHEREAS, the following person(s) has offered to contribute the cash amount set forth
below to the city:
Name of Donor Amount Donation Date
Bruce & Gladys Lickfelt $50.00 5/22/2018
WHEREAS, such donation has been contributed to the Hutchinson Police
department towards the Law Enforcement Memorial Park fund.
WHEREAS, the City Council finds that it is appropriate to accept the donation offered.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
HUTCHINSON, MINNESOTA, AS FOLLOWS:
THAT, the donation described above is hereby accepted by the City of Hutchinson.
Adopted by the City Council this 28th day of May 2019.
ATTESTED:
Matthew Jaunich
City Administrator
APPROVED:
Gary T. Forcier
Mayor
HUTCHINSON CITY COUNCIL
MEETING NHNUTES
TUESDAY, MAY 14, 2019
CITY CENTER — COUNCIL CHAMBERS
(The City Council is provided background information for agenda items in advance by city staff, committees and boards. Many
decisions regarding agenda items are based upon this information as well as: Citypolicy andpractices, inputfrom constituents,
and other questions or information that has not yet been presented or discussed regarding an agenda item)
1. CALL MEETING TO ORDER — 5:30 P.M.
Mayor Gary Forcier called the meeting to order. Members present were Steve Cook, Chad Czmowski,
Dave Sebesta, and Mary Christensen. Others present were Matt Jaunich, City Administrator, Marc
Sebora, City Attorney and Kent Exner, City Engineer
(a) Approve the Council agenda and any agenda additions and/or corrections
Motion by Czmowski, second by Sebesta, to approve the agenda with the additional item noted.
Motion carried unanimously.
2. INVOCATION — Oak Heights Covenant Church
(The invocation is a voluntary expression of theprivate citizen, to and for the City Council, and is not intended to affiliate the
City Council with, or express the City Council's preference for, any religious/spiritual organization. The views or beliefs
expressed by the invocation speaker have not been previously reviewed or approved by the Council or staff)
3. PLEDGE OF ALLEGIANCE
4. RECOGNITION OF GIFTS, DONATIONS AND COMMUNITY SERVICE TO THE CITY
(a) Resolution No. 15040 — Resolution Accepting $50.00 Donation from Roger & Mary Mies to the
Hutchinson Police Department Towards the Law Enforcement Memorial Park Fund
Motion by Cook, second by Christensen, to approve Resolution No. 15040. Motion carried
unanimously.
(b) Proclamation — National Poppy Day
Mayor Forcier read a Proclamation proclaiming May 24, 2019, as National Poppy Day.
PUBLIC COMMENTS
(T is is an opportunity or members of the public to address the City Council. If the topic you would like to discuss is on the
agenda, please ask the Mayor if he will be accepting public comments during the agenda item if not a public hearing. If you have
a question, concern or comment, please ask to be recognized by the mayor — state your name and address for the record. Please
keep comments under 5 minutes. Individuals wishing to speak for more than five minutes should ask to be included on the agenda
in advance of the meeting. All comments are appreciated, but please refrain from personal or derogatory attacks on individuals)
5. CITIZENS ADDRESSING THE CITY COUNCIL
6. APPROVAL OF MINUTES
(a) Regular Meeting of April 23, 2019
Motion by Christensen, second by Cook, to approve minutes of April 23, 2019. Motion carried
unanimously.
CONSENT AGENDA
(The items listedfor consideration will be enacted by one motion unless the Mayor, a member of the City Council or
CITY COUNCIL MINUTES May 14, 2019
a city staff member requests an item to be removed. Traditionally items are not discussed.)
7. APPROVAL OF CONSENT AGENDA I
(a) Consideration for Approval of Resolution No. 15041 — Amending Resolution No. 14877
Establishing Income Guidelines & Asset Limitations for Senior Citizens 65 Years or Older,
Disabled Citizens, Active Duty Military Reserves or National Guard Deferred Assessments and
Senior Citizens Reduced Refuse Rate
(b) Consideration for Approval of Resolution No. 15046 — Resolution Approving an Interfund Loan
from the Sewer Fund to the Storm Water Fund to Finance the Acquisition of a New Street
Sweeper
(c) Consideration for Approval of Authorizing Crow River Winery to Dispense Liquor at Minnesota
Garlic Festival at McLeod County Fairgrounds on August 10, 2019
(d) Consideration for Approval of Authorizing Buffalo Wild Wings to Dispense Liquor at Music in
the Park at Library Square on June 10, July 8 and August 5, 2019
(e) Consideration for Approval of Issuing Short -Term Gambling License to Heart of Minnesota
Animal Shelter on June 22, 2019
(f) Appointment of Dianne Wanzek to Library Board to April 2021 (filling Gerald Grinde's seat)
(g) Consideration for Approval of Resolution No. 15048 - Resolution for Authorization to Execute
Minnesota Department of Transportation Airport Maintenance and Operation Grant Contract
(h) Consideration for Approval of 2019 Street and Pavement Repairs
(i) Consideration for Approval of Street Replay Application
(j) Consideration for Approval of Resolution No. 15042 — Resolution to Sell at Auction Unclaimed
Bicycles
(k) Consideration for Approval of Resolution No. 15043 — Resolution to Sell at Auction Unclaimed
Miscellaneous Property Accumulated by Hutchinson Police Department
(1) Consideration for Approval of Resolution No. 15045 — Resolution to Sell Surplus Information
Technology Property
(m)Consideration for Approval of Resolution No. 15059 — Resolution to Donate Surplus Fire
Department Property
(n) Consideration for Approval of Out of State Travel for Council Member Steve Cook to Attend the
Transportation Alliance Fly -In in Washington D.C. from June 18-20, 2019
(o) Consideration for Approval of Revisions to the Safety Clothing and PPE Policy
(p) Claims, Appropriations and Contract Payments — Register A
Items 7(i) and 7(m) were pulled.
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CITY COUNCIL MINUTES May 14, 2019
Motion by Czmowski, second by Cook, to approve Consent Agenda I with the exception of the
items noted above. Motion carried unanimously.
Item 7(i) had further discussion. Council Member Cook asked if property owners will be
notified of the asphalt pavement maintenance services before they occur. John Olson, Public
Works Manager, explained that door hangers and social media are typically how notification is
done. Council Member Cook asked about information contained in the Ohio Report. Olson
spoke about the information/results in the report. Cook asked if there are other products that do
the same type of work. Olson explained the research conducted when determining what types of
products to use for replaying projects.
Motion by Cook, second by Christensen, to approve Item 7(i). Motion carried unanimously.
Item 7(m) had further discussion. Council Member Christensen asked Fire Chief Schumann to
explain the items they are donating. Chief Schumann explained that the Hutchinson Fire
Department is donating old pagers that the department no longer uses since they have converted
to new models. HFD is donating the pagers to the Silver Lake Fire Department. Secondly, the
HFD is donating bunker coats and pants to Chaplain Ministries International out of Lindstrom,
Minnesota. Chaplain Ministries collects the outdated fire gear to ship to areas of the world that
have little or no fire protective gear. This gear can no longer be worn by HFD due to NFPA
standards.
Motion by Christensen, second by Sebesta, to approve Item 7(m). Motion carried unanimously
8. APPROVAL OF CONSENT AGENDA II
(a) Claims, Appropriations and Contract Payments — Register B
Motion by Cook, second by Christensen, with Czmowski abstaining, to approve Consent Agenda
IL Motion carried unanimously.
PUBLIC HEARINGS — 6:00 P.M.
9. APPROVE/DENY ISSUING LIQUOR LICENSE TO MUDDY COW HUTCHINSON LLC
LOCATED AT 35 3RD AVENUE SE
Marc Sebora, City Attorney, presented before the Council. Mr. Sebora explained that Muddy Cow
Hutchinson LLC has applied for a liquor license to open an establishment in the former Landy
Lodge located at 35 3r Avenue SE. All paperwork has been received and no concerns were noted in
the background investigation. Mr. Sebora explained that Landy Lodge has an outstanding loan with
the EDA in the amount of $26,000 and staff is requesting that the liquor license be issued on the
condition that that loan be repaid by the new owner or the former owner. Matt Jaunich, City
Administrator, noted that staff has received information that as part of financing for the new owners,
that loan is anticipated to be paid off.
Motion by Cook, second by Czmowski, to close public hearing. Motion carried unanimously.
Motion by Cook, second by Czmowski, to approve issuing liquor license to Muddy Cow Hutchinson
LLC with the provision that the EDA loan be repaid. Patrick Conroy, Muddy Cow Hutchinson LLC,
presented before the Council. Mr. Conroy explained that the EDA loan will be repaid as part of their
new ownership. Motion carried unanimously.
10. ASSESSMENT HEARING AND PROJECT AWARD FOR 5TH AVENUE SOUTH
RECONSTRUCTION PROJECT (LETTING NO. 1, PROJECT NO. 19-01)
�a) Resolution No. 15049 - Resolution Adopting Assessment
b) Resolution No. 15050 - Resolution Accepting Bid and Awarding Contract
CITY COUNCIL MINUTES May 14, 2019
Kent Exner, City Engineer, presented before the Council. Mr. Exner explained that the City
received four bids with the low bid coming in from Duininck Inc. in the amount of $2,833,969.04.
This amount is 7% lower than the final engineer's estimate. Mr. Exner explained the assessment
amounts.
Randy Anderson, 506 Main Street South, presented before the Council. Mr. Anderson asked if this
project is going through regardless of public comments. Mr. Anderson asked the benefits of the
sidewalk being proposed. Council Member Cook explained that the main purpose is for safety and
also provides a connection from Main Street west since there is already a sidewalk east of Main
Street and will connect to Lynn Road.
Rory Fairbanks, 506 Franklin Street SW, presented before the Council. Mr. Fairbanks explained
that he learned that I I feet of his property along 5t' Avenue SW will be lost due to the project. Mr.
Fairbanks explained that actually he will be losing 14 feet of property due to the installation of the
sidewalk. Mr. Fairbanks noted that this eliminates the majority of his off-street parking in front of
his garage. Because of the installation of the sidewalk, Mr. Fairbanks explained that he was
informed that they would no longer be able to park in this area. Mr. Exner explained the reasoning
for the curb line and the continuity of the sidewalk, along with the desire to keep a tree in the area.
Mr. Exner feels that other solutions are viable other than moving the sidewalk. Mr. Fairbanks does
not believe that he should have to remove the garage when it is a structure that was there when he
bought the home. Council Member Cook noted that the City has meandered/redirected sidewalks
around other properties on other projects and he feels the City should be able to do so around the
Fairbanks property as well.
Randy Anderson presented before the Council. Mr. Anderson noted that a third option would be to
compensate the Fairbanks for a new garage if the City would require the sidewalk in its location.
Motion by Czmowski, second by Christensen, to close public hearing. Motion carried unanimously.
Council Member Cook noted that he is in favor of the project, however he is requesting staff to get
an estimate to see what it would take to curb the sidewalk down to make the driveway usable and
perhaps share the cost and have further discussions after the costs are received. Exner noted that he
does not feel there will be any extra costs unless a tree is removed - this is more of a design issue.
Council Member Christensen asked that staff work with the Fairbanks as well on redirecting the
sidewalk.
Motion by Czmowski, second by Cook, to approve Resolution Nos. 15049 and 15050. Motion
carried unanimously.
Motion by Cook, second by Christensen, to request staff to make an adjustment to the sidewalk that
runs adjacent to the Fairbanks property — if there are extra costs associated, the costs should be
presented to the Council. Council Member Czmowski expressed that although he empathizes with
the Fairbanks, he feels that redesigning the sidewalk around their property specifically can create
future issues with other properties. Motion carried unanimously.
11. SOUTH GRADE ROAD CORRIDOR IMPROVEMENTS PROJECT (LETTING NO. 2, PROJECT
NO. 19-02)
(a) Resolution No. 15051 - Resolution Ordering Improvement and Preparation of Plans and
Specifications
(b) Resolution No. 15052 - Resolution Approving Plans and Specifications and Ordering
Advertisement for Bids
Kent Exner, City Engineer, presented before the Council. Mr. Exner explained that this project
includes a street mill/overlay and reconstruction on South Grade Road from Dale Street to Trunk
Highway 15. The estimated project cost is $2,360,000 and is scheduled to begin late Summer 2019.
Mr. Exner spoke about the trees that will need to be removed and the proposed locations of the
replantings. Mr. Exner also spoke about the proposed roundabout to be installed on South Grade
Road at the service road entrance.
F
CITY COUNCIL MINUTES May 14, 2019
Cody Glesener, 964 Merrill Street, presented before the Council. Mr. Glesener asked that the
Council proceed with this project as he feels it will help immensely with drainage issues on his
property.
Bruce Rannow, 585 South Grade Road, presented before the Council. Dr. Rannow expressed
concerns with access to his property during construction. Dr. Rannow noted that it was suggested
that perhaps the construction could occur in stages, such as to the east of his driveway and then
when completed then west of his driveway. Dr. Rannow also noted that since the trail has been
installed, the City has taken care of it. He asked if that will remain after the improved trail is put in
place. Dr. Rannow also asked if the mail receptacle will be relocated.
Doug Brown, 954 Church Street, presented before the Council. Mr. Brown asked for further
explanation on the new crosswalk at Merrill Street towards Cash Wise. Mr. Brown noted his
concerns that the sidewalk from the cross walk to Cash Wise meet ADA standards.
Motion by Czmowski, second by Sebesta, to close public hearing. Motion carried unanimously.
Council Member Cook asked about the traffic west of the roundabout coming and going from Cash
Wise and how it correlates to the stop light and potential stacking issues.
Motion by Sebesta, second by Christensen, to approve Resolution Nos. 15051 and 15052. Motion
carried unanimously.
12. WATER TREATMENT PLANT REVERSE OSMOSIS MEMBRANE REPLACEMENTS
LETTING NO. 9, PROJECT NO. 19-10)
a) Resolution No. 15053 - Resolution Ordering Improvement and Preparation of Plans and
Specifications
(b) Resolution No. 15054 - Resolution Approving Plans and Specifications and Ordering
Advertisement for Bids
Kent Exner, City Engineer, presented before the Council. Mr. Exner explained that this project is to
procure equipment to facilitate the regular replacement of the existing membranes with installation
to be administered by City staff. The estimated project cost is $411,400. Bids are scheduled to be
opened on June 12, 2019. The membranes were last replaced in 2013.
Motion by Czmowski, second by Christensen, to close public hearing. Motion carried unanimously.
Motion by Cook, second by Czmowski, to approve Resolution Nos. 15053 and 15054. Motion
carried unanimously.
13. APPROVE/DENY GRANTING A FRANCHISE TO HTUTDK AND UPONOR TO ERECT
COMMERCIAL SIGNAGE IN THE CITY RIGHT-OF-WAY OF TECHNOLOGY DRIVE NE
Marc Sebora, City Attorney, presented before the Council. Mr. Sebora explained that with the
construction of the new roadway, Technology Drive NE, near HTUTDK and Uponor, it was
determined that the companies' current business sign was located in the middle of the roadway.
Because the City does not permit such signs in the middle of public streets, it was determined that
the sign would be relocated on the west side of the street entrance, however would be located on
city -owned property. To accomplish this, a franchise needs to be authorized by the City so that there
is a formal recognition that the sign is permitted on public property. There would be no cost for the
businesses as part of the franchise, however insurance is required for requirement for liability
purposes so that the City may be indemnified if there is a claim involving the sign.
Motion by Czmowski, second by Christensen, to close public hearing. Motion carried unanimously.
Motion by Czmowski, second by Cook, to approve first reading of Ordinance No. 19-800, granting
franchise to HTI/TDK and Uponor to erect commercial signage in the City right-of-way of
5
CITY COUNCIL MINUTES May 14, 2019
Technology Drive NE. Council Member Sebesta clarified the width of the roadway. Motion carried
unanimously.
purpose of t is portion of the agenda is to provide the ounci with information necessary to craft wise policy.
ides items like monthly or annual reports and communications from other entities.)
14. DISCUSSION AND REVIEW OF THE 2019 NATIONAL CITIZEN SURVEY INFORMATION
Matt Jaunich, City Administrator, presented before the Council. Mr. Jaunich explained that the
National Citizen Survey is scheduled to be distributed this summer. As part of the survey, the City
can include three custom questions. There are no charges for these three added questions. Mr.
Jaunich is asking the Council to think about custom questions that they might want to include on
the 2019 survey. Formal action on the final survey questions will be included on a future Council
agenda. Discussion was held regarding questions surrounding funding for street improvements or a
sales tax for recreation center upgrades.
15. UPDATE ON SUMMER CAMPGROUND ATTENDANT
Matt Jaunich, City Administrator, presented before the Council. Mr. Jaunich noted that staff has
included funding within the 2019 budget for a part-time/seasonal person to serve as the Summer
Campground Attendant for the City. The attendant's hours will be Monday -Thursday from 4-7pm
and Friday -Sunday from 1:00-8:00 p.m. This schedule will run from May 10 — Labor Day. After
Labor Day, the hours will most likely be reduced to Friday -Sunday from 4:00-7:00 p.m. Some of
the duties of the position include daily cleaning and maintenance duties in the campground
restroom buildings and campground area; customer service to park guests including making sure
Suests are properly checked in and they know the campground rules, along with providing
information about park facilities and regional attractions to guests and visitors; notify police when
issues arise regarding park rules and policies; inform users of the park through handouts) about
Emerald Ash Borer and the city's desire to use "safe" wood; and provided assistance to paddle
sports users.
UNFINISHED BUSINESS
16. APPROVE/DENY SECOND READING AND ADOPTION OF ORDINANCE NO. 19-799 — AN
ORDINANCE OF THE CITY OF HUTCHINSON TO REZONE PROPERTIES AT 306,316 AND
326 FRANKLIN STREET SW FROM R-2 (MEDIUM DENSITY RESIDENTIAL) TO R-4 (HIGH
DENSITY RESIDENTIAL) AS REQUESTED BY PRINCE OF PEACE
Mr. Jaunich noted that the first reading of the ordinance was held at the last Council meeting and
relates to the expansion at Prince of Peace. No changes have been made to the ordinance since the
first reading.
Motion by Cook, second by Christensen, to approve second reading and adoption of Ordinance No.
19-799. Motion carried unanimously.
NEW BUSINESS
17. APPROVE/DENY PLACING AN EAGLE SCULPTURE IN MCLEOD COUNTY VETERAN'S
MEMORIAL PARK
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CITY COUNCIL MINUTES May 14, 2019
Dave Skoog, Vice President of McLeod County Veterans Memorial Park, presented before the
Council. Mr. Skoog explained that the Veterans Memorial Park Board is requesting to place an
eagle sculpture in the Park. Mr. Skoog described the project and provided an illustration of the
depiction of the sculpture which will be placed in the circular flower area of the park. Mr. Skoog
explained what the eagle symbolizes to veterans. Mr. Jaunich noted that the eagle will be donated to
the Park and the Council will have a Resolution before them in the future to formally accept the
donation.
Motion by Cook, second by Czmowski, to approve placing an eagle sculpture in McLeod County
Veteran's Memorial Park. Motion carried unanimously.
18. APPROVE/DENY PROJECT AWARD FOR TECHNOLOGY DRIVE & WEST HIGHLAND
PARK DRIVE CONSTRUCTION PROJECT (LETTING NO. 5, PROJECT NO. 19-06)
(a) Resolution No. 15055
- Resolution Declaring Cost to be Assessed and Ordering Preparation of
Proposed Assessment
(b) Resolution No. 15056
- Resolution Declaring Adequacy of Petition and Waiving Hearing on
Proposed Assessment
Resolution No. 15057
— Resolution Adopting Assessment
�c)
d) Resolution No. 15058
— Resolution Accepting Bid and Awarding Contract
Kent Exner, City Engineer, presented before the Council. Mr. Exner explained that three bids were
received with the low bid coming in from Wm. Mueller & Sons in a bid amount of $624,274.08
which was approximately 10% lower than the final engineer's estimate. This project is to construct
Technology Drive and West Highland Park Drive. The property owner has petitioned for this
improvement and have waived the assessment hearing and any objections to any irregularities with
regard to the improvement assessments.
Motion by Czmowski, second by Christensen, to approve Resolution Nos. 15055, 15056, 15057 and
15058. Motion carried unanimously.
19. APPROVE/DENY RESOLUTION NO. 15047 TO AMEND THE 2019 GENERAL FUND
BUDGET
Andy Reid, Finance Director, presented before the Council. Mr. Reid explained that due to the frost
boil repairs that have been necessary, staff is recommending that $200,000 of general fund reserves
be allocated to the 2019 Street Department operating budget to repair the affected roadways. The
City budgets for an average weather year in order to avoid excessive surpluses. Due to this practice,
it is necessary to use reserve funds in those years with extreme weather conditions. This budget
amendment is a one-time use and the 2020 budget will be lowered to a level which supports typical
operations. John Olson, Public Works Manager, noted that repairs will begin next week. The streets
being repaired include Arch Street SE, Elks Drive SE, Lakeview Lane SW, 7t' Avenue NW, Service
Road 4, Sherwood Street SE, Garden Road NE, Michigan Street NE, Orchard Avenue SE, Lindy
Lane NE, and Prairie View Drive SW.
Motion by Cook, second by Forcier, to approve Resolution No. 15047. Motion carried
unanimously.
20. APPROVE/DENY SETTING BUDGET WORKSHOP FOR MAY 28, 2019, AT 4:00 P.M.
Matt Jaunich, City Administrator, noted that staff is getting set to begin the 2020 budget season. To
assist with that, staff would like to have a workshop with the Council to discuss the process that is
being used to establish the budget and to get some feedback from the Council on budgetary goals
for 2020.
7
CITY COUNCIL MINUTES May 14, 2019
Motion by Czmowski, second by Forcier, to approve setting budget workshop for May 28, 2019, at
4:00 p.m. Motion carried unanimously.
GOVERNANCE
(T e purpose o t is portion of the agenda is to deal with organizational development issues, including policies,
performances, and other matters that manage the logistics of the organization. May include monitoring reports,
policy development and governance process items.)
21. MINUTES/REPORTS FROM COMMITTEES, BOARDS OR COMMISSIONS
(a) Public Arts Commission Minutes from March 14, 2019
NHSCELLANEOUS
22. STAFF UPDATES
Kent Exner — Mr. Exner explained that MnDOT and the Chamber of Commerce held three Main
Street/Hwy 15 business owner meetings today to attempt to keep everyone aware of project updates.
An assessment informational meeting will be held on May 30 with property owners for utilities
assessments. He also noted that Hwy 15 north of Kimball to I94 is detoured and will be through most
of summer.
Matt Jaunich — Mr. Jaunich noted that City offices will be closed on Memorial Day — May 27, 2019.
23. COUNCIL/MAYOR UPDATE
Gary Forcier — Mayor Forcier asked Dolf Moon if the aquatic center hours could be extended past
Labor Day if the weather is nice. Two main items to consider are that construction will begin on
South Grade Road at the end of summer and the roof replacement on the Rec Center needs to begin.
Also, staffing is always an issue towards the end of summer due to the majority of staff being
college students and high school students.
Mayor Forcier also asked if the perhaps the Hutchinson Leader could publish something on the
"rules of roundabouts" or perhaps something could be put out by staff on social media.
ADJOURNMENT
Motion by Czmowski, second by Cook, to adjourn at 8:05 p.m. Motion carried unanimously.
N.
HUTCHINSON CITY COUNCIL
SPECIAL WORKSHOP
MEETING MINUTES
TUESDAY, MAY 14, 2019, AT 4:00 PM
CITY CENTER — COUNCIL CHAMBERS
Call to Order
Mayor Forcier called the meeting to order. Members present were Mary Christensen, Steve Cook,
Chad Czmowski and Dave Sebesta. Others present were Matt Jaunich, City Administrator; Marc
Sebora, City Attorney; Dan Jochum, Planning Director and Tom Gifferson, Police Chief.
DISCUSSION/REVIEW ITEMS
1. Review of Proposed Chicken Ordinance
Matt Jaunich, City Administrator, explained that staff has put together a draft ordinance for the
Council to discuss pertaining to regulating chickens within city limits. The draft ordinance
includes material from other cities as well as comments received from the Council and the public.
The jurisdiction for enforcement would fall under animal control within the police department.
The zoning ordinance would need to be revised to allow for coops as well as revisions to the
nuisance ordinance. Mr. Jaunich noted that fees are not included within the proposed ordinance
as all fees are part of the City fee schedule that is adopted annually. No educational requirements
are included in the draft ordinance as were previously suggested.
Marc Sebora, City Attorney, presented before the Council. Mr. Sebora reviewed the proposed
ordinance section by section. Mr. Sebora explained that as part of the ordinance, a license would
be required for someone to keep/harbor chickens. The licensing section includes a license fee
established by the fee schedule; granted for owner -occupied properties in R-1 or R-2 residential
zones only; maximum of four chickens allowed per parcel (no roosters or crowing birds);
permission of city personnel on the licensed premises to ensure compliance; licenses issued by
Hutchinson Police Services; and license applications will be required to have a detailed plan and
diagram. General requirements included in the ordinance are: Chickens kept in sanitary
conditions with no odors detectable outside the confines of the property lines of the licensed
premises; timely removal of feces, urine and food scraps; chickens not audible outside the
confines of the licensed premises; dead chickens disposed of within 24 hours; waste from chicken
coops or runs cannot be placed in city compost containers or disposed of at the City's compost
facility; chickens cannot be slaughtered on the premises or anywhere else in the city other than a
retail establishment with a butcher; chickens kept in manner complying with Minnesota statute
chapter 343; chickens shall be confined inside an enclosed coop or run at all times and not
allowed to run at large. Structure requirements included in the ordinance were: chickens kept in
a coop that will sufficiently protect chickens from the elements and predators and to discourage
rodents; minimum of four square feet of space with a maximum of ten square feet for each
chicken; one coop is permitted for each property with an enclosed run at least 10 square feet for
each bird incorporated into the coop area and coops/runs must comply with all City planning and
zoning regulations.
Council Member Christensen suggested adding language noting that movable coops are not
allowed.
Also included in the ordinance was language pertaining to the location of coops which are
proposed to be prohibited from the front yard of any hope and not closer than 10 feet from any
property line; no closer than 50 feet to any neighboring residence; and not part of or attached to
homes, garages or sheds.
The ordinance included language pertaining to revocation, hearing and criminal penalties for
violating the ordinance.
The miscellaneous section of the ordinance speaks about properties with coops being unused for
180 days shall be removed by the property owner immediately upon the request of the city; dogs
and cats that kill or injure chickens that are off the licensed property shall not be deemed as
dangerous or potentially dangerous under City Code or state law and no license under the
ordinance will be issued to properties where nuisance conditions exist.
Mayor Forcier spoke about the proposed language requiring that all abutting property owners
must sign off on a property owner's application.
Mr. Jaunich noted that staff would like the Council's feedback on the percentage of abutting
property owner's signatures required as well as the number of chickens being allowed.
Mayor Forcier commented that he would still like to see some sort of educational requirement be
part of the ordinance. Council Member Czmowski suggested that an informational brochure be
handed out at the time of the application/license issuance.
Council Member Cook expressed that he wonders if chickens are allowed, what type of farm
animal will be requested next to have in the city — goats, ducks, pot-bellied pigs, etc. Cook also
spoke about what do when people no longer want to raise the chickens they are harboring and
how to get rid of them.
Discussion was also held regarding what to do if chickens are found loose and then what to do
with them or how to find the owners.
Council Member Cook also made other miscellaneous suggestions such as not allowing for an
owner to compost the waste on their own property as well; property owner being required to live
on the premises where the chickens are located; only one coop permitted; no breeding; no cock
fighting; 25 feet away from water body; back yards only; and consideration of other covenants or
private restrictions.
Council Member Christensen stated that several people have approached her and have voiced
their opposition to allowing chickens within city limits.
Michael Massmann, audience member, noted that he has circulated a petition that contains a
couple hundred signatures of people that have interest in allowing chickens within the city.
The Council Members noted that the majority of the feedback they have received from
constituents is that they are not in favor of chickens within city limits.
The Council did suggest that staff reach out to other cities that allow chickens in their
communities for feedback on issues/concerns or lack thereof.
Council Member Cook suggested only issuing a certain amount of permits per year, perhaps 10
per year.
Discussion was held regarding how to gain feedback from constituents on their desire for
chickens in the city — survey, social media, reach out to Council, etc.
Motion by Christensen, second by Forcier, to adjourn at 5:15 p.m. Motion carried unanimously.
ATTEST:
Gary T. Forcier
Mayor
Matthew Jaunich
City Administrator
HUTCHINSON CITY COUNCIL CityafA
Request for Board Action
Agenda Item: Consideration of Non -Waiver of Tort Liability Limits for General Liability
Department: Finance
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete
Contact: Andy Reid
Agenda Item Type:
Presenter: Andy Reid
Reviewed by Staff
Consent Agenda
Time Requested (Minutes): 5
License Contingency
Attachments: No
BACKGROUND/EXPLANATION OFAGENDA ITEM:
As part of the City's renewal of its general liability insurance policy for the period July 2019 through June 2020, the
City must decide whether or not to waive the statutory municipal tort liability limits from $500,000 per claimant to
$1,500,000 per occurrence. If the City does waive this, then the City must purchase excess liability coverage.
Historically the City has not waived the municipal tort, because by doing so, the City exposes itself to potential claims
and payments above the statutory limit.
Staff recommendation is to not waive the tort liability limits.
BOARD ACTION REQUESTED:
The Council is requested to not waive the tort liability limits for the policy period of July 2019 through June 2020.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
HUTCHINSON CITY COUNCIL CityafA
Request for Board Action
Agenda Item: Approval of Purchase of Shady Ridge & Delaware Lift Stations Panel Equipment
Department: PW/Eng
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete N/A
Contact: Kent Exner
Agenda Item Type:
Presenter: Kent Exner
Reviewed by Staff
Consent Agenda
Time Requested (Minutes): 0
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
As identified within the current Capital Improvement Plan, City staff has worked to solicit a quote to address the
control panels at the Shady Ridge and Delaware area wastewater lift stations. Thus, please see the attached
quote/proposal information and our technical consultant's recommendation letter.
BOARD ACTION REQUESTED:
Authorization of Purchase Order
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost: $ 56,921.00
Total City Cost: $ 56,921.00 Funding Source: Wastewater Funds
Remaining Cost: $ 0.00 Funding Source:
May 21, 2019
TO:
City of Hutchinson
Attn: Kent Exner
1300 Adams St. SE
Hutchinson, MN 55350
(320) 234-4212
Re: Letter of Recommendation
Shady Ridge and Delaware Lift Station Panel Procurement
Dear Mr. Exner:
N E RO
ENGINEERING
7135 MADISON AVENUE W
MINNEAPOLIS, MN 55427
www.neroeng.com
(612) 240-0524
On behalf of the City, Nero Engineering and Spring Lake Engineering reviewed the proposals for the
furnishing of the control panels for the Shady Ridge and Delaware Lift Stations. These are the third and
fourth lift station rehabilitation projects in an overall effort to standardize equipment in all of the City's
lift stations. As part of the first lift station rehabilitation project at the Harmony Lift Station, panel
suppliers were evaluated to provide all of the new panels. Four sites were identified in the City's lift
station study completed in 2016 to be completely replaced: Harmony, Otter Lake, Shady Ridge, and
Delaware.
Total Control Systems, Inc. was the successful proposer for furnishing the new panels and provided the
following prices for the Shady Ridge and Delaware lift station panels. They also provided a cost for
including insulation in both panels.
Description
Price
Shady Ridge Control Panel
$28,477.00
Delaware Control Panel
$28,044.00
Add for Insulated Lining to Both Panels
$400.00
Total Panel Procurement Cost
$56,921.00
Our engineer's estimate of probable cost for the Shady Ridge and Delaware panel procurement was
$70,000. It is our recommendation to award the panel procurement to Total Control for $56,921.00.
We will be pleased to answer any questions concerning the recommendations set forth herein.
Sincerely,
d �W* kd
Jennifer Svennes, PE
CC: Tim Gratke, City of Hutchinson
Request for Proposal to Furnish Equipment
Shady Ridge & Delaware Lift Station Panel Procurement
City of Hutchinson
Proposer: TcYTAL CoNTf�o L SAS t M-6 / 1 Nc
This proposal is submitted to:
City of Hutchinson (Buyer)
111 Hassan Street SE
Hutchinson, WIN 55350-2522
Project Description:
Proposals to provide two (2) control panels including the enclosures, plant Programmabl e Logic Controllers (PLC),
panel mounted Local Operator Stations (LOS), the Control Panel network switches, UPS a r d other components
detailed in this RFP. Panels will be installed by others at the existing Shady Ridge and Del ware Lift Station
locations. Equipment shall be in accordance with the attached plans and specifications.
The Shady Ridge and Delaware Lift Station rehabilitation projects are the third and fourthjof several projects that
will standardize lift station equipment throughout the City of Hutchinson's 13 lift stations
1.1 The undersigned Proposer proposes and agrees, if this Proposal is accepted, to er ter into an Agreement
with Buyer in the form included in the Proposal documents and furnish the Good and Special Services as
specified or indicated in the Proposal Documents for the prices and within the tin es indicated in this
Proposal and in accordance with the other terms and conditions of the Proposal ocuments.
1.2 Proposer accepts ail of the terms and conditions of the Request for Proposals an c Instructions to
Proposers, including without limitation those dealing with the disposition of Prop sal security. Proposer
has not added any conditions or qualifying statements to the Proposal. The Proposal will remain subject
to acceptance for the proposal withdrawal time stated in the Request for Propos Is, or for such longer
period of time that Proposer may agree to in writing upon request of the Buyer. roposer will sign and
deliver the required number of counterparts of the Agreement with Bonds, evide ce of insurance
coverage, and other documents required by the Proposal Requirements within 7 ays after the date of
Buyer's Notice of Award.
1.3
1.4
Proposer accepts the provisions of the Agreement as to liquidated damages in th ievent of its failure to
furnish the Goods and Special Services in accordance with the schedule set forth in the Agreement.
In submitting this Proposal, Proposer represents, as set forth in the Agreement, tgat:
A. Proposer has examined and carefully studied the Proposal Documents, the of er related data
identified in the Proposal Documents, and the following Addenda, receipt of hich is hereby
acknowledged.
Addendum No. Addendum pate
Nero Engineering and Spring Lake Engineering I PROPOSAL FORM
Project No. 10024 00400-1
S. If specified, or if in Proposer's judgment, any local condition that may affect [ 4st, progress or the
furnishing of Goods and Special Services, Proposer has visited the Project Site nd become familiar
with and is satisfied as to the local conditions.
C. Proposer is familiar with and is satisfied as to all federal, state and local Laws I
nd Regulations that
may affect cost, progress and the furnishing of Goods and Special Services.
D. Proposer has carefully studied and correlated the information known to Prop+er, and information
and observations obtained from Proposer's visits, if any, to the Project Site wi h the Proposal
Documents,
E. Proposer has given Engineer written notice of all conflicts, errors, ambiguities or discrepancies that
Proposer has discovered in the Proposal documents, and the written reso I ut [c n thereof by Engineer
is acceptable to Proposer, If there has been no written resolution by E ngineer, the Proposer has
included in the Proposal a list of clarifications and exceptions to the Proposal Documents.
F. The Proposal Documents are generally sufficient to indicate and convey unde ttanding of all terms
and conditions for furnishing Goods and Special Services for which this Propo l is submitted.
G. Proposer further represents that this Proposal is genuine and not made in the interest of or on behalf
of any undisclosed individual or entity and is not submitted in conformity with any agreement or
rules of any group, association, organization or corporation; Proposer has n ot directly or indirectly
induced or solicited any other Proposer to submit a false or sham Proposal; P poser has not solicited
or induced any individual or entity to refrain from proposing; and Proposer ha not sought by
collusion to obtain for itself any advantage over any other Proposer or over Boyer.
1.5 Proposer will furnish the Goods and Special Services in accordance with the Contract Documents for the
following prices:
Item
Proposal Item Description Unit of
Price (U.S. Dollars)
No.
Measure
4JGWV6L,7MTftu*t0 fcxf
t ftwiuAw (words)
Pl
One (1) Control Panel for the Shady Lump
X"Iml' sr"
Ridge Lift Station Sumo
9-77
One
(figures)
7"NTY kJ6wrT+k)Ujpr,0
JgTy,4pL y� (words)
PZ
(1) Control Panel for the Lump
$ 04q
RNIl PbA00
Delaware Lift Station Sum
(figures)
Alternate: Include an alternate price for the following items:
Item Proposal Item Description Unit of Price (U.S. Dollars)
No. Measure
Add r � l'oLl1� �rJ���l� N4�,at; (wards)
Al Insulated lining for the Shady Ridge Ded tt
and Delaware Lift Station Panels 400. o0
(circle one)
42 vent Covers for the Shady Ridge and A[ dd ¢r N.C..DOi~Lb
Delaware Lift Station Panels circle one �r W
( ] ��
trigures)
1J0/i {words}
{figures}
Nero Engineering and Spring Lake Engineering I PROPOSAL FQHM
Project No. 10024 00400-2
'No
Time to provide shop drawings and product data
� _4 PF(I-YL �
Panel Delivery Time after Approved Shop drawings and Product Data: q — 1,:5, wEEI��
Cost for Additional Day(s) of Installation Services
Nero Engineering and Spring Lake Engineering I PROPOSAL FORM
Project No. 10024 00400-3
If Proposer is:
An Individual
Name (typed or printed):
By:
(in dividu a I's signature)
Doing business as:
A Partnership
Partnership Name:
By:
(SEAL)
(SEAL}
(Signature of general partner- attach evidence of autharity to sign)
Name (typed or printed):
A Corporation
me. ` (6%L CaNTfZU L SYs S F•1[ .
State of Incorporation:
Type (Genera usiness, Pro s nal, Service, Limited Liability): �LiS i NE�SS
11
By:
ur - attac idence of authority to sign)
Name (typed or printed): AL I r,
Title: :Pat-5 I a—N I (t
.—,, If,
Attest:��f'L�yt/� cZ�} -
Date of Authorization to do business in State of Minnesota is `7 Z
A Joint Venture
Name of Joint Venture:
First Joint Venturer Name:
Bv:
(Signature of first joint venture partner - attach evidence of authority to sign)
Name (typed or printed):
Second Joint Venturer name:
Bv:
(Signature of second joint venture partner - attach evidence of authority to sign)
Name (typed or printed):
Title:
(SEAL)
PORATE SEAL)
(SEAL)
(SEAL)
(tacn joint venture must sign. The manner of signing for each individual, portne hip, and corporation that
is a party to the joint venture should be in the manner indicates! above.)
Proposer's Business Address: 3F�41 o yM 44 r tL.t<.,.:,
PhoneNo.: 3zo 3% yg4Z Fax No.. S-ZO .��lb L{4L�3 SUBMITTED on 5/1-712,0+ 1
Nero Engineering and Spring Lake Engineering I PROPOSAL FORM
Project No. 10024 00400-4
totalcontrol
SYSTEMS;INC
May 17, 2019
Total Control Systems, Inc
38841 Nyman Drive NE
PO Box 40
Stanchfield, MN 55080-0040
Phone 320-396-4442 / Fax 320-396-
4443
To: City of Hutchinson. Re: Hutchinson, Minnesota — Delaware Lift station Improv.
Total Control Systems, Inc. JCS) proposes to furnish equipment and services in accordance to
the project plans and specifications that were received.
Section 16900 Lift Station Controls
Section as listed, Furnish only
No field installation
Including: Liftstation control panel duplex 240v 1 phase 2hp
NEMA 3R 2 door stainless steel enclosure 42H 60W 12D
Inner doors
Enclosure SS 18" legs and skirts with louvers
Door Stops
Main breaker. 100 amp (SE rating) 35KAIC
Generator breaker. 100 amp with interlock
Generator Receptacle (supplied by city) mounted
Incoming power terminal block
Pump circuit breakers (2)
Control circuit breakers
Equipment circuit breakers
Hand -Off -Auto and other switches, oil tight, 30 mm
Pushbutton switches, oil tight 30mm
Lamps, LED, oil tight, 30mm Per Spec.
Condensation heater/fans, 400 watt
Starters, NEMA size 2 SSOL
Cooling filter/fans with stainless hoods with thermostat
Phase monitor
Lightning arrestor (TVSS) 100KVA
Intrinsic barriers Class I, Div 1, Group C, D
Relays
GFI receptacle rated at 20 amps
External alarm strobe
Uninterruptible Power Supply
Control power TVSS
Ethernet switch Ntron 5 port
Temperature Sensor
Allen-Bradley Micrologix 1400 and cards
Backup controller
Allen Bradley Panelview Operator interface per spec
Elapsed time meters (2)
RTU outlet
Space for Radio equipment
RF lightning arrestor
Door switches
Cabinet Lighting LED
Submittals and Documentation
Base Programming, training
Testing and commissioning
1 year warranty per specification
Price for the Delaware lift station panel package: $28,044.00 excluding tax.
Does not include:
Sales Tax (Exempt if direct to City with Certificate)
Meter sockets/Cold sequence disconnects
Single phase pump start kits if needed
RF cable and ends
Antenna or Mast/Pole
Cell or Internet service
Operational Programming
Overtemp/Seal Fail relays
Floats
Submersible Transducer
Radio equipment
Grounding materials
Underground warning tape
Installation of panels
Conduit
Perm its
Demolition
Generator and equipment
Any wire external to panel
- We acknowledge receipt of Addendum No..
- Retainage terms will be negotiated with the Contractor, but not exceed spec'd rate
- Terms are Net 30 days from invoice date. No retainage allowed. A 1.5%
charge per month added to any past due balance. Price may be dependent
on past credit history.
- This quote/proposal valid for 90 days.
- Work to commence after receipt of an acceptable written purchase order
acknowledging acceptance of our terms.
- F.O.B. job -site.
- Start-up service/training, documentation and equipment adjustment
is included as specified.
- TCSI does not accept any liquidated damages.
- ALL PANELS FURNISHED BY TCS WILL HAVE A UL 508 SERIALIZED OR
UL698A ENCLOSED INDUSTRIAL CONTROL PANEL RELATING TO
HAZARDOUS LOCATIONS WITH INTRINSICALLY SAFE CIRCUIT
EXTENSIONS LABEL, AS REQUIRED.
If you have any questions regarding our proposal, please contact our office. We look forward to
working with you on this project.
Sincerely,
TOTAL CONTROL SYSTEMS, INC.
Al Doberstein
AD/lb
Submittals 2-4 weeks after receipt of acceptable order.
Equipment 6-8 weeks after engineer's approval.
Accepted By Date
totalcontrol
SYSTEMS;INC
May 17, 2019
Total Control Systems, Inc
38841 Nyman Drive NE
PO Box 40
Stanchfield, MN 55080-0040
Phone 320-396-4442 / Fax 320-396-
4443
To: City of Hutchinson. Re: Hutchinson, Minnesota — Shady Ridge Lift station Improv.
Total Control Systems, Inc. JCS) proposes to furnish equipment and services in accordance to
the project plans and specifications that were received.
Section 16900 Lift Station Controls
Section as listed, Furnish only
No field installation
Including: Liftstation control panel duplex 240v 3phase 5hp
NEMA 3R 2 door stainless steel enclosure 42H 60W 12D
Inner doors
Enclosure SS 18" legs and skirts with louvers
Door Stops
Main breaker. 100 amp (SE rating) 35KAIC
Generator breaker. 100 amp with interlock
Generator Receptacle (supplied by city) mounted
Incoming power terminal block
Pump circuit breakers (2)
Control circuit breakers
Equipment circuit breakers
Hand -Off -Auto and other switches, oil tight, 30 mm
Pushbutton switches, oil tight 30mm
Lamps, LED, oil tight, 30mm Per Spec.
Condensation heater/fans, 400 watt
Starters, NEMA size 2 SSOL
Cooling filter/fans with stainless hoods with thermostat
Phase monitor
Lightning arrestor (TVSS) 100KVA
Intrinsic barriers Class I, Div 1, Group C, D
Relays
GFI receptacle rated at 20 amps
External alarm strobe
Uninterruptible Power Supply
Control power TVSS
Ethernet switch Ntron 5 port
Temperature Sensor
Allen-Bradley Micrologix 1400 and cards
Backup controller
Allen Bradley Panelview Operator interface per spec
Elapsed time meters (2)
RTU outlet
Space for Radio equipment
RF lightning arrestor
Door switches
Cabinet Lighting LED
Submittals and Documentation
Base Programming, training
Testing and commissioning
1 year warranty per specification
Price for the Shady Ridge lift station panel package: $28,477.00 excluding tax.
Does not include:
Sales Tax (Exempt if direct to City with Certificate)
Meter sockets/Cold sequence disconnects
RF cable and ends
Antenna or Mast/Pole
Cell or Internet service
Operational Programming
Overtemp/Seal Fail relays
Floats
Submersible Transducer
Radio equipment
Grounding materials
Underground warning tape
Installation of panels
Conduit
Perm its
Demolition
Generator and equipment
Any wire external to panel
- We acknowledge receipt of Addendum No..
- Retainage terms will be negotiated with the Contractor, but not exceed spec'd rate
- Terms are Net 30 days from invoice date. No retainage allowed. A 1.5%
charge per month added to any past due balance. Price may be dependent
on past credit history.
- This quote/proposal valid for 90 days.
- Work to commence after receipt of an acceptable written purchase order
acknowledging acceptance of our terms.
- F.O.B. job -site.
- Start-up service/training, documentation and equipment adjustment
is included as specified.
- TCSI does not accept any liquidated damages.
- ALL PANELS FURNISHED BY TCS WILL HAVE A UL 508 SERIALIZED OR
UL698A ENCLOSED INDUSTRIAL CONTROL PANEL RELATING TO
HAZARDOUS LOCATIONS WITH INTRINSICALLY SAFE CIRCUIT
EXTENSIONS LABEL, AS REQUIRED.
If you have any questions regarding our proposal, please contact our office. We look forward to
working with you on this project.
Sincerely,
TOTAL CONTROL SYSTEMS, INC.
Al Doberstein
/_1DO101
Submittals 2-4 weeks after receipt of acceptable order.
Equipment 6-8 weeks after engineer's approval.
Accepted By Date
HUTCHINSON CITY COUNCIL
ci=v-f�
Request for Board Action
7AL =-ft
Agenda Item: Resolution to sell City Property
Department: Police
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete
Contact: Thomas D. Gifferson
Agenda Item Type:
Presenter: Thomas D. Gifferson
Reviewed by Staff
Consent Agenda
Time Requested (Minutes): 2
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
RESOLUTION TO SELL AT AUCTION
A 2009 Chevrolet Malibu VI 1G1ZH57899F221801
A 2015 Chevrolet Caprice VI 6G3NS5U20FL106211
A 2015 Chevrolet Caprice VI 6G3NS5U23FL10620
Vehicle to be sold at State Auction in Arden Hills.
BOARD ACTION REQUESTED:
The Hutchinson Police Department recommends approval of resolution to sell at auction
Fiscal Impact: $ 17,000.00 Funding Source: 0
FTE Impact: 0.00 Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost: $ 0.00
Total City Cost: $ 0.00 Funding Source: 0
Remaining Cost: $ 0.00 Funding Source: 0
RESOLUTION TO SELL AT AUCTION
SURPLUS POLICE DEPARTMENT PROPERTY
Resolution No. 15060
WHEREAS, the Hutchinson Police Department has accumulated surplus property.
AND WHEREAS, the Hutchinson City Code provides pursuant to Section 91,
Subdivision 3, Paragraph C for the sale at auction of surplus property.
AND WHEREAS, the police department has determined that it is in possession of
surplus property.
NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE
CITY OF HUTCHINSON, MINNESOTA.
That the Hutchinson City Council hereby approves the sale at auction the following
vehicles to be auction through Fahey Sales Inc.
2009 Chevrolet Malibu VIN #I G1ZH57899F221801
2015 Chevrolet Caprice VIN 96G3NS5U20FL 106211
2015 Chevrolet Caprice VIN 96G3NS5U23FL106204
Adopted by the City Council this 28t' day of May, 2019
Mayor
City Administrator
RESOLUTION NO. 15062
RESOLUTION RELATING TO PARKING RESTRICTIONS
S.P. 133-130-002 From Station 21+17.7 to Station 24+25,
Station 31+20 to Station 46+28 and Station 100+13.49 to Station 108+08.60
(SOUTH GRADE ROAD SW) IN THE CITY OF HUTCHINSON, MINNESOTA
WHEREAS, this resolution was passed this 28th day of May 2019 by the City of Hutchinson in
McLeod County, Minnesota. The Municipal Corporation shall hereinafter be called the "City".
WITNESSETH:
WHEREAS, the "City', has planned the improvement of South Grade Road SW, State Aid
Route No. 130 from Dale St SW to State Trunk Highway 15 Service Road in the City of Hutchinson,
Minnesota; and
WHEREAS, the "City' will be expending Municipal State Aid Funds on the improvements of
this street; and
WHEREAS, this improvement maintains the existing parking restrictions on both sides of the
street; and approval of the proposed construction as a Municipal State Aid Street project must
therefore be conditioned upon certain parking restrictions.
NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON,
MI N N ESOTA:
THAT, the "City" shall ban the parking of motor vehicles on both sides of South Grade Road
SW from Station 21+17.7 to Station 24+25 ( Dale to end of turn lanes), Station 31+20 to Station
46+28 (Steven St to Merrill St) and Station 100+13.49 to Station 108+08.60 (Merrill St to TH15) at all
times.
Adopted by the Hutchinson City Council this 28th day of May 2019.
Gary Forcier, Mayor
Matt Jaunich, City Administrator
HUTCHINSON CITY COUNCIL
CityafA
Request for Board Action
Agenda Item: Resolution to Sell Surplus Equipment at Auction
Department: Planning
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete N/A
Contact: Dan Jochum
Agenda Item Type:
Presenter:
Reviewed by Staff
consent Agenda
Time Requested (Minutes):
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
The Planning/Building/Facilities Department has a surplus vehicle because of the purchase of a Ford Escape for the
Building Department. A 2005 Dodge Dakota will be sent to auction at Fahey Auctioneers in Glencoe.
BOARD ACTION REQUESTED:
Approval of resolution.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
RESOLUTION NO. 15063
RESOLUTION TO SELL AT AUCTION
SURPLUS PROPERTY
WHEREAS, the City of Hutchinson has accumulated surplus property; and
WHEREAS, the Hutchinson City Code, Section 91, Subdivision 3, Paragraph C, provides for
the sale at auction of surplus property; and
NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
HUTCHINSON, NHNNESOTA:
That the following surplus City property be sold at auction and proceeds from the sale be
credited to the appropriate account:
1. 2005 Dodge Dakota
Adopted by the City Council this 28t' day of May, 2019.
Gary Forcier, Mayor
ATTEST:
Matthew Jaunich, City Administrator
CHECK REGISTER A FOR CITY OF HUTCHINSON
CHECK DATE FROM 5/14/19 - 5/28/19
Check Date
--------------------
05/10/2019
Check
-------------------
205771
Vendor Name
-------------------------------------------------------------
PREMIER TECH CHRONOS
Description
-----------------------------------------------------------------------
CREEKSIDE BAGGER UPGRADES - OSHA GRANT
Amount
-----------------------
12,995.50
05/15/2019
205772
HENNEN EQUIPMENT, INC.
2017 KOMPTECH TOPTURN X55 COMPOST TURNER
473,775.00
05/24/2019
EFT957
EFTPS
PAYROLL 5/5 - 5/18/2019
65,884.58
05/24/2019
EFT958
Child Support
PAYROLL 5/5 - 5/18/2019
149.54
05/24/2019
EFT959
MN Dept of Revenue
PAYROLL 5/5 - 5/18/2019
13,393.43
05/24/2019
EFT960
Provident Life and Acc Ins
PAYROLL 5/5 - 5/18/2019
666.41
05/24/2019
EFT961
PERA
PAYROLL 5/5 - 5/18/2019
52,212.36
05/24/2019
EFT962
TASC-Flex
PAYROLL 5/5 - 5/18/2019
1,532.02
05/24/2019
EFT963
TASC-H S A
PAYROLL 5/5 - 5/18/2019
12,909.73
05/24/2019
EFT964
ICMA
PAYROLL 5/5 - 5/18/2019
2,360.00
05/24/2019
EFT965
VOYA
PAYROLL 5/5 - 5/18/2019
530.00
05/24/2019
EFT966
MNDCP
PAYROLL 5/5 - 5/18/2019
350.00
05/24/2019
205773
MNPEA
PAYROLL 5/5 - 5/18/2019
468.00
05/24/2019
205774
UNUM Life Insurance
PAYROLL 5/5 - 5/18/2019
1,141.88
05/24/2019
205775
HART
PAYROLL 5/5 - 5/18/2019
585.47
05/28/2019
205776
ACE HARDWARE
REPAIR & MAINT SUPPLIES - VARIOUS DEPTS
726.81
05/28/2019
205777
ADVANCED POWER SERVICES, INC
GENERATOR INSPECTIONS- WTP & WWTP
1,040.00
05/28/2019
205778
AEM MECHANICAL SERVICES INC
INSTALL MINI SPLIT- HATS
3,144.50
05/28/2019
205779
AMERICAN BOTTLING CO
MAY COST OF GOODS - LIQUOR STORE
122.32
05/28/2019
205780
AMERICAN RED CROSS
2019 LTS FACILITY FEE - WATERPARK
650.00
05/28/2019
205781
AMERIPRIDE SERVICES
TOWEL BAR, MOPS, MATS - LIQUOR STORE
116.73
05/28/2019
205782
ARCTIC GLACIER USA INC.
MAY COST OF GOODS - LIQUOR STORE
369.04
05/28/2019
205783
ARTISAN BEER COMPANY
MAY COST OF GOODS - LIQUOR STORE
542.95
05/28/2019
205784
AUTO VALUE - GLENCOE
AUTO REPAIR SUPPLIES - HATS
333.28
05/28/2019
205785
AXON ENTERPRISE, INC.
ANNUAL BODY CAMERA CONTRACT- POLICE
12,636.00
05/28/2019
205786
B & C PLUMBING & HEATING INC
SPRING SERVICE - POLICE & EVENT CENTER
1,221.69
05/28/2019
205787
BALDWIN SUPPLY COMPANY
HARDWARE SUPPLIES - CREEKSIDE
231.81
05/28/2019
205788
BELLBOY CORP
MAY COST OF GOODS - LIQUOR STORE
951.45
05/28/2019
205789
BERNICK'S
MAY COST OF GOODS - LIQUOR STORE
494.55
05/28/2019
205790
BETHANY FISCHER
CAMPGROUND REFUND MAY 24-26 SITES 10, 11
270.00
05/28/2019
205791
BLOCK, BRANDON
UB refund for account: 3-735-5600-8-04
34.84
05/28/2019
205792
BME LAB AND SCIENCE
CALIB/MAINT AUTOCLAVE - WWTP
725.00
05/28/2019
205793
BOLTON & MENK INC.
8-UNITT-HANGAR CONST ADMIN FEES
1,091.06
05/28/2019
205794
BRADLEY SECURITY LLC
DISASSEMBLE COMBO CHAMBER ON LOCK - POLICE
242.00
05/28/2019
205795
BREAKTHRU BEVERAGE
MAY COST OF GOODS - LIQUOR STORE
10,382.31
05/28/2019
205796
BRITZ STORE EQUIPMENT INC.
ROLL TRACKS FOR LIQUOR COOLERS
2,900.82
05/28/2019
205797
C & L DISTRIBUTING
MAY COST OF GOODS - LIQUOR STORE
22,723.40
05/28/2019
205798
CANNON RIVER WINERY
MAY COST OF GOODS - LIQUOR STORE
288.00
05/28/2019
205799
CARD SERVICES
CASH WISE SUPPLIES FOR SENIOR CENTER
32.25
05/28/2019
205800
CARLOS CREEK WINERY
MAY COST OF GOODS - LIQUOR STORE
468.00
05/28/2019
205801
CARLTON PLANTS
PLANTS/TREES FOR FORESTRY
4,359.59
05/28/2019
205802
CAROL NEMITZ
CLASS CANCELLATION REFUND
40.00
05/28/2019
205803
CENTRAL MCGOWAN
ACETYLENE FOR CREEKSIDE
207.30
05/28/2019
205804
CHAD SYLWESTER
CONSTRUCTION REFUND - CAMPGROUND
360.00
05/28/2019
205805
CHEMISOLV CORP
FERRIC CHLORIDE - WWTP
4,913.27
05/28/2019
205806
CINTAS CORPORATION
CLEANING SERVICES - VARIOUS DEPTS
213.72
05/28/2019
205807
COMMISSIONER OF TRANSPORATION
ADVERTISING DEVICES PERMIT RENEWAL- STREETS
60.00
05/28/2019
205808
CONNIE SYLWESTER
CAMPGROUND RESERVATION REFUND MAY 21-25
150.00
05/28/2019
205809
CREEKSIDE SOILS
MULCH & BITCON FOR PARKS PROJECTS
354.40
05/28/2019
205810
CROW RIVER GOLF CLUB
5/2 LIQUOR STORE EVENT
534.38
05/28/2019
205811
CROW RIVER WINERY
MAY COST OF GOODS - LIQUOR STORE
924.00
05/28/2019
205812
DAWN PREHN
CAMPGROUND RESERVATION REFUND MAY 24-26
90.00
05/28/2019
205813
DELEGARD TOOL CO
SMALL TOOLS FOR HATS
986.54
05/28/2019
205814
DRAIN PROS INC
MAIN LINE, CAMERA- RENTAL FOR PARKS DEPT
320.00
05/28/2019
205815
DUNDEE
BASKET FOR DAVID KLITZKE FUNERAL - LIQUOR EE
34.99
05/28/2019
205816
DYNA SYSTEMS
RINGS, CONNECTORS, CABLE TIES, SCREWS - WWTP
285.98
05/28/2019
205817
E2 ELECTRICAL SERVICES INC
ELECTRICAL REPAIRS AT WTP & WWTP
655.46
05/28/2019
205818
ECOLAB PEST ELIMINATION
COCKROACH/RODENT PROGRAM
64.93
05/28/2019
205819
VOID
-
05/28/2019
205820
EVERGREEN APARTMENTS
REIMB FOR INTEGRATED FIRE & SECURITY
1,250.00
CHECK REGISTER A FOR CITY OF HUTCHINSON
CHECK DATE FROM 5/14/19 - 5/28/19
Check Date
--------------------
05/28/2019
Check
-------------------
205821
Vendor Name
-------------------------------------------------------------
EXNER, KENT
Description
-----------------------------------------------------------------------
REIMB: MMRDC TAP MTG, TH15 DISCUSSING, C
Amount
-----------------------
460.70
05/28/2019
205822
FASTENAL COMPANY
CABLE TIES, SCREWS, RUSTOL - PUBLIC WORKS
40.96
05/28/2019
205823
FLEXIBLE PIPE TOOL COMPANY
POLE, GRABBERS, ATTMT, BASKET CATCHER- WWTP
1,118.90
05/28/2019
205824
FOKKEN, KYLE
2019 SCULPTURE STROLL - FLYING DUTCHMAN
1,000.00
05/28/2019
205825
FORD OF HIBBING
PURCHASE 2019 FORD ESCAPE- BLDG INSPECTIONS
21,302.68
05/28/2019
205826
FORESTEDGE WINERY
MAY COST OF GOODS - LIQUOR STORE
126.00
05/28/2019
205827
FOSTER MECHANICAL
HVAC SYSTEM/EQUIP REPAIR - CITY CENTER
415.71
05/28/2019
205828
GAVIN, DONLEY & OSTLUND, LTD
MONTHLY LEGAL FEE AGREEMENT
3,300.00
05/28/2019
205829
GLESENER
UB refund for account: 3-115-9200-3-03
1.25
05/28/2019
205830
GRAINGER
SUPPLIES FOR WATERPARK & WWTP
312.63
05/28/2019
205831
GREGORY BRADFORD
CAMPGROUND RESERVATION REFUND MAY 22-28
210.00
05/28/2019
205832
HACH COMPANY
FLUORIDE REAGENT - WTP
190.75
05/28/2019
205833
HAGER JEWELRY INC.
NAME PLATES- PLANNING COMMISSION
49.50
05/28/2019
205834
HANSON & VASEK CONSTRUCTION
CONCRETE ON 1ST AVE NE, JEFFERSON DRIVEWAY
8,200.00
05/28/2019
205835
HAUGEN, RICK L
2019 SCULTURE STROLL HONORARIAM
1,000.00
05/28/2019
205836
HENKE ENTERPRISES LLC
RECOAT EPDXY FLOORING - HATS
2,650.00
05/28/2019
205837
HILLYARD / HUTCHINSON
CLEANING SUPPLIES- VARIOUS DEPTS
244.35
05/28/2019
205838
HJERPE CONTRACTING
REPAIR WATER MAIN & NEW CURBSTOP AT ROTARY
4,288.70
05/28/2019
205839
HOHENSTEINS INC
MAY COST OF GOODS - LIQUOR STORE
557.00
05/28/2019
205840
HOISINGTON KOEGLER GROUP INC
APRIL SERVICES - PARKS MASTER PLAN
7,809.60
05/28/2019
205841
HOLTMEIER CONSTRUCTION
SCREENING RECLAIM GRAVEL - PUBLIC WORKS
9,614.60
05/28/2019
205842
HOWK, DAN
REIMB: SAFETY FOOTWEAR
159.99
05/28/2019
205843
HUTCHINSON CO-OP
MAXTRON OIL, GAS - PARKS & STREETS
151.22
05/28/2019
205844
HUTCHINSON WHOLESALE #1550
SHOP SUPPLIES- STREETS
162.50
05/28/2019
205845
HUTCHINSON WHOLESALE #1551
SHOP SUPPLIES- CREEKSIDE
482.74
05/28/2019
205846
HUTCHINSON WHOLESALE #1552
SHOP SUPPLIES- PARKS DEPT
1,214.80
05/28/2019
205847
HUTCHINSON, CITY OF
AQUATIC CASH; ADMISSIONS/CONCESSIONS
1,435.00
05/28/2019
205848
HUTCHINSON, CITY OF
STORM DRAINAGE 4/1 - 4/30'19
6,137.27
05/28/2019
205849
HUTCHINSON, CITY OF
REPLENISH ATM IN CITY CENTER
5,000.00
05/28/2019
205850
1 & S GROUP, INC.
APRIL SERVICES: REC CENTER IMPROVEMENTS
1,892.00
05/28/2019
205851
I.M.S. SHARPENING SERVICE
CATCH BASIN REPAIR - STORM WATER
2,450.00
05/28/2019
205852
IDEAL SERVICE INC
SERVICE ON CUTLER HAMMER - WTP
580.00
05/28/2019
205853
INTERSTATE BATTERY SYSTEM MINNEAPOL
SHOP SUPPLIES FOR HATS FACILITY
757.71
05/28/2019
205854
INTERSTATE POWER COMPANIES INC
CREEKSIDE BAGGER PARTS
1,245.28
05/28/2019
205855
JACOBSEN, SEPTEMBER
REIMB: REPLACE LIGHTING SUPPLIES - EVENT CTR
100.88
05/28/2019
205856
JOAN DIXON
CLASS CANCELLATION REFUND
20.00
05/28/2019
205857
JOE'S SPORT SHOP
YOUTH T-SHIRT ORDER FOR 2019
572.00
05/28/2019
205858
JOEL YLINEN
CAMPGROUND RESERVATION REFUND MAY 24-26
90.00
05/28/2019
205859
JOHN HENRY FOSTER
OIL FOR WWTP
53.90
05/28/2019
205860
JOHNSON BROTHERS LIQUOR CO.
MAY COST OF GOODS - LIQUOR STORE
35,490.91
05/28/2019
205861
JOHNSON CONTROLS FIRE PROTECTION LP
06/01/19 - 5/31/20 CONTRACT - EVENT CENTER
216.25
05/28/2019
205862
JUUL CONTRACTING CO
GARDEN RD TILE LINE / LES KOUBA ROAD
4,254.30
05/28/2019
205863
KAHNKE BROTHERS NURSERY
PLANTS FOR PARKS & POLICE MEMORIAL PARK
279.46
05/28/2019
205864
KAY NELSON
CLASS CANCELLATION REFUND
20.00
05/28/2019
205865
KELLY THAEMERT
CONSTRUCTION REFUND - CAMPGROUND
90.00
05/28/2019
205866
KERI'S CLEANING & HANDYMAN SERVICES
5/1- 5/15 CITY CTR, LIBRARY, SR DINING
1,894.00
05/28/2019
205867
KNIFE RIVER CORPORATION
WASHED ROCK - STREETS LANDSCAPING EXPENSE
308.00
05/28/2019
205868
KOHLS SWEEPING SERVICE
CREEKSIDE - DOZER PILE ASHPALT/CONCRETE
1,235.00
05/28/2019
205869
L & P SUPPLY CO
VARIOUS DEPTS - MOWER & EQUIP PARTS
7,453.25
05/28/2019
205870
LANO EQUIPMENT OF NORWOOD
EQUIPMENT PARTS - PUBLIC WORKS
1,555.73
05/28/2019
205871
LESLIE FORTUN
CLASS CANCELLATION REFUND
389.00
05/28/2019
205872
LIEN, MIKE
REIMB: MILEAGE FOR CONF IN RAMSEY
87.00
05/28/2019
205873
LOCHER BROTHERS INC
MAY COST OF GOODS - LIQUOR STORE
42,291.90
05/28/2019
205874
LORELEI JOHNSON
CAMPGROUND REFUND
20.00
05/28/2019
205875
M-R SIGN
SIGNS AND SIGN POSTS
2,655.80
05/28/2019
205876
MACQUEEN EQUIP LLC
FILTERS - STORM WATER EQUIPMENT
122.21
05/28/2019
205877
MAIN STREET SPORTS BAR
EDA SIGN & AWNING GRANT
1,000.00
05/28/2019
205878
MCLEOD COUNTY PUBLIC WORKS
CONTRIBUTION FOR NE RING ROAD STUDY
8,000.00
05/28/2019
205879
MCLEOD COUNTY RECORDER
RESOLUTIONS 15017 & 15018 - WOODSTONE
92.00
05/28/2019
205880
MEDICA
June Medical Insurance
139,380.70
CHECK REGISTER A FOR CITY OF HUTCHINSON
CHECK DATE FROM 5/14/19 - 5/28/19
Check Date
--------------------
05/28/2019
Check
-------------------
205881
Vendor Name
-------------------------------------------------------------
MENARDS HUTCHINSON
Description
-----------------------------------------------------------------------
REPAIR & MAINT SUPPLIES - VARIOUS DEPTS
Amount
-----------------------
1,066.16
05/28/2019
205882
MINNESOTA DEPT OF HEALTH
Q2 2019 STATE FEE - WATER CONNECTIONS
7,643.00
05/28/2019
205883
MINNESOTA DEPT OF MOTOR VEHICLE
TITLE/REG 2019 FORD ESCAPE & CHEVY IMPALA
2,867.40
05/28/2019
205884
MINNESOTA VALLEY TESTING LAB
SAMPLE TESTING FOR WWTP
1,093.50
05/28/2019
205885
MNDRIVERSMANUALS.COM
COMMERCIAL & MOTORCYCLE MANUALS - DMV
433.76
05/28/2019
205886
NASH FINCH COMPANY
1ST QTR 2019 CAM - LIQUOR STORE PARKING LOT
2,714.99
05/28/2019
205887
NERO ENGINEERING LLC
VARIOUS WWTP PROJECTS
14,909.60
05/28/2019
205888
NORTHERN BUSINESS PRODUCTS
OFFICE & CLEANING SUPPLIES - POLICE, REFUSE
93.58
05/28/2019
205889
NORTHERN GREEN EXPO
2020 GREEN EXPO BOOTH - CREEKSIDE
441.15
05/28/2019
205890
NORTHERN STATES SUPPLY INC
STEP DOWN BUTT CONNECTORS - HATS
30.53
05/28/2019
205891
NORTHERN TIER TRANSPORTATION LLC
FREIGHT CREEKSIDE PRODUCT - GRAND FORKS
750.00
05/28/2019
205892
OFFICE DEPOT
OFFICE SUPPLIES FOR VARIOUS DEPTS
102.35
05/28/2019
205893
OFFICE OF MN IT SERVICES
APRIL 2019 SERVICES - DMV
192.55
05/28/2019
205894
PATRICIA HANSON
CONSTRUCTION REFUND: CAMPGROUND
270.00
05/28/2019
205895
PAULSON, JOHN
REIMB: MILEAGE/MEALS FOR U OF M CONF
200.15
05/28/2019
205896
PAUSTIS WINE COMPANY
MAY COST OF GOODS - LIQUOR STORE
4,951.33
05/28/2019
205897
PECE RECYCLING LLC
85 PALLETS-CREEKSIDE
403.75
05/28/2019
205898
PENMAC STAFFING SERVICES, INC.
CREEKSIDE TEMP STAFFING MAY 5 - 18
7,906.22
05/28/2019
205899
PHILLIPS WINE & SPIRITS
MAY COST OF GOODS - LIQUOR STORE
10,866.00
05/28/2019
205900
PIKE TRANSFER LLC
FREIGHT CREEKSIDE PRODUCT - FALCON HEIGHTS
700.00
05/28/2019
205901
PREMIUM WATERS
5 GAL DEPOSIT - PARKS GARAGE
6.50
05/28/2019
205902
PRIDE SOLUTIONS INC
CREEKSIDE BAGGING LINE PARTS
216.67
05/28/2019
205903
PRO AUTO MN INC.
#775 2006 DAKOTA: REPAIR BRAKE LIGHTS- STREETS
364.81
05/28/2019
205904
QUADE ELECTRIC
LAMPS FOR POLICE / REPAIRS AT CITY CENTER
125.45
05/28/2019
205905
QUILL CORP
OFFICE SUPPLIES FOR POLICE DEPT
195.96
05/28/2019
205906
RAHN PAINTING & CONTRACTING LLC
MAR -APR SNOW REMOVAL- CITY CENTER/LIBRARY
1,725.00
05/28/2019
205907
RED BULL DISTRIBUTION COMPANY, INC.
MAY COST OF GOODS - LIQUOR STORE
121.00
05/28/2019
205908
REINER ENTERPRISES INC
CREEKSIDE FREIGHT TO VARIOUS LOCATIONS
51,937.32
05/28/2019
205909
ROEPKE, MADDIE
REIMB: SAFETY FOOTWEAR
94.99
05/28/2019
205910
RONDA BERG
CANCELLED ONE NIGHT - REC CENTER
25.00
05/28/2019
205911
RUNNING'S SUPPLY
REPAIR & MAINT SUPPLIES - VARIOUS DEPTS
627.33
05/28/2019
205912
SALAZAR, MICHAEL
REIMB: LODGING/MEALS FOR POLICE TRAINING
481.67
05/28/2019
205913
SAMANTHA JOHNSON
CANCELLED SHELTER DUE TO WEATHER
35.00
05/28/2019
205914
SANDRA RADUENZ
CAMPGROUND REFUND FOR MAY 28 - JUNE 5
270.00
05/28/2019
205915
SCHULTE, JOSH
REIMB: 2 CYCLE OIL FOR RESCUE BOAT- FIRE DEPT
23.83
05/28/2019
205916
SCOTT LUCKSINGER
CAMPGROUND RESERVATION REFUND MAY 24-26
90.00
05/28/2019
205917
SHERWIN WILLIAMS
PAINT FOR REC CENTER BUILDING
190.56
05/28/2019
205918
SITEONE LANDSCAPE SUPPLY
HERBICIDE - PARKS DEPT
1,987.50
05/28/2019
205919
SOLUS LED
LED WALL PACKS - CIVIC ARENA
1,125.00
05/28/2019
205920
SORENSEN'S SALES & RENTALS
#312 TRACTOR: BUSHINGS -STREETS
11.91
05/28/2019
205921
SOUTHERN WINE & SPIRITS OF MN
MAY COST OF GOODS - LIQUOR STORE
17,936.42
05/28/2019
205922
STANDARD PRINTING-N-MAILING
MAILING SERVICE & POSTAGE FOR 4/28 - 5/11
667.50
05/28/2019
205923
STAPLES ADVANTAGE
OFFICE/CLEANING SUPPLIES - VARIOUS DEPTS
877.99
05/28/2019
205924
STREICH TRUCKING
CREEKSIDE FREIGHT TO VARIOUS LOCATIONS
900.00
05/28/2019
205925
SUN LIFE FINANCIAL
April Dental Claims & May Admin Fees
8,540.90
05/28/2019
205926
TALKING WATERS BREW CO
MAY COST OF GOODS - LIQUOR STORE
355.00
05/28/2019
205927
TAPS-LYLE SCHROEDER
CLEANED LINEN & TOPS 5/15 - EVENT CENTER
25.00
05/28/2019
205928
THOMSON REUTERS-WEST
APRIL WEST INFO CHARGES- LEGAL
2,137.85
05/28/2019
205929
TKO WINES
MAY COST OF GOODS - LIQUOR STORE
1,504.00
05/28/2019
205930
TRIMBO, DAVID
SHAMPOO & DEEP SCRUB - POLICE STATION
960.00
05/28/2019
205931
TRIPLE G COMPANIES
SOUTH PARKT-PADS: SITE WORK, GRAVEL
3,500.00
05/28/2019
205932
UNITED FARMERS COOP
FUEL FOR HATS FUEL SYSTEM
36,392.72
05/28/2019
205933
URBAN SPRITE MEDIA
CREEKSIDE RADIO ADVERTISING
750.00
05/28/2019
205934
VERIZON CONNECT NWF, INC.
MONTHLY - GPS LOCATORS -5 PUB WORKS VEHICLES
94.75
05/28/2019
205935
VERIZON WIRELESS
APR 03 - MAY 02 SERVICES - POLICE
38.22
05/28/2019
205936
VIKING BEER
MAY COST OF GOODS - LIQUOR STORE
17,518.07
05/28/2019
205937
VI KING COCA COLA
MAY COST OF GOODS - LIQUOR STORE
307.15
05/28/2019
205938
VINOCOPIA INC
MAY COST OF GOODS - LIQUOR STORE
2,196.26
05/28/2019
205939
WALK MS
SHELTER REFUND FROM MAY 5TH
40.00
05/28/2019
205940
WASTE MANAGEMENT OF WI -MN
5/1- 5/15'19 REFUSE DISPOSAL
6,481.67
CHECK REGISTER A FOR CITY OF HUTCHINSON
CHECK DATE FROM 5/14/19 - 5/28/19
Check Date
--------------------
05/28/2019
Check
-------------------
205941
Vendor Name
-------------------------------------------------------------
WEST CENTRAL SANITATION INC.
Description
-----------------------------------------------------------------------
MAY RESIDENTIAL HAULING SERVICES
Amount
-----------------------
44,999.36
05/28/2019
205942
WINE COMPANY, THE
MAY COST OF GOODS - LIQUOR STORE
2,565.95
05/28/2019
205943
WINE MERCHANTS INC
MAY COST OF GOODS - LIQUOR STORE
171.22
05/28/2019
205944
WINEBOW FINE WINE & SPIRITS
MAY COST OF GOODS - LIQUOR STORE
1,097.50
05/28/2019
205945
WM MUELLER & SONS
FINE MIX AND ASPHALT FOR STREET REPAIRS
966.00
05/28/2019
205946
WORTZ, TORI
REIMB: SAFETY FOOTWEAR
175.00
05/28/2019
205947
WRIGHT COUNTY COURT ADMIN
BAIL: C SI LLIVE NT
50.00
05/28/2019
205948
ZIEMER, JAMIE
UB refund for account: 1-395-7150-7-03
88.85
05/28/2019
205949
ERLANDSON, ANDREW
REIMB: MEALS AT TRAINING- POLICE
73.71
Total- Check Disbursements:
$ 1,317,434.03
Department Purchasing Card Activity - April 2019
Date
Dept
Vendor Name
Description
Amount
04/22/2019
ADMIN
MINNESOTA CONTINUING LEGAL EDUC
Continuing Education for Legal
1,845.00
04/01/2019
FIRE
SUPERAMERICA
Refuel fire command truck at factory visit Luverne
55.00
04/01/2019
FIRE
PERKINS
Meals while at factory visit in Luverne MN
91.32
04/03/2019
FIRE
MN STATE FIRE CHIEFS ASSN
MSFCA annual membership Jason Sturges
57.00
04/03/2019
FIRE
MN STATE FIRE CHIEFS ASSN
MSFCA annual membership Randall Abelson
57.00
04/03/2019
FIRE
MN STATE FIRE CHIEFS ASSN
MSFCA annual membership Mike Schumann
93.00
04/08/2019
FIRE
JIMMY JOHNS
Meal, Rochester fire school, Jason Sturges
14.47
04/08/2019
FIRE
KWIKTRIP
Fuel, Rochester fire school, Jason Struges
31.80
04/08/2019
FIRE
FIREHOUSE SUBS
Meal, Rochester fire school, Jason Sturges
18.35
04/09/2019
FIRE
POTBELLY
Meal, Rochester fire school, Jason Sturges
9.16
04/09/2019
FIRE
STAYBRIDGE SUITES
Lodging, Rochester fire school, Jason Sturges
278.52
04/12/2019
FIRE
WAL-MART
Supplies, water & truck wash soap
67.06
04/29/2019
FIRE
JIMMYS PIZZA
Meals for crew during prescribed burns in City
92.01
04/10/2019
FINANCE
HUTCHINSON, CITY OF
Tandem Trailer - Credit card fee at DMV licensing
4.83
04/10/2019
FINANCE
HUTCHINSON, CITY OF
Tandem trailer license at DMV - Parks Dept
194.00
04/17/2019
FINANCE
AMAZON
Legal note pads post -it notes
16.47
04/25/2019
FINANCE
AMAZON
Standing Desk for S.Neal - Finance
169.99
04/25/2019
FINANCE
AMAZON
Tissues for City Center
59.99
04/26/2019
FINANCE
AMAZON
Silicone, Polyurethane Adhesive
84.37
04/02/2019
IT
AMAZON
Network Rack Cooling Fan
24.99
04/03/2019
IT
SMARTDRAW
Credit for software purchase in April
(2.06)
04/03/2019
IT
AMAZON
Mouser Pads and mice for stock
77.21
04/04/2019
IT
URBAN ARMOR GEAR
Case for Forestry IPAD
96.58
04/04/2019
IT
BESTBUY
IPAD for Forestry
1,089.99
04/05/2019
IT
AMAZON
IPAD Pencil for DHalquist
94.88
04/08/2019
IT
AMAZON
Toner for Jean Ward
109.89
04/08/2019
IT
AMAZON
Monitor Stand for Dan Nordmann
73.99
04/09/2019
IT
AMAZON
Desk Organizer TKloss
12.99
04/09/2019
IT
AMAZON
Amazon Account Reimbursement Change
(119.00)
04/10/2019
IT
AMAZON
DVD for body cams
49.51
04/15/2019
IT
WEB NETWORKSOLUTIONS
Webpage for Hutchinson Public Arts
244.89
04/18/2019
IT
FAXPRODUCTS
Black Ice Viewer Software
69.98
04/24/2019
IT
AMAZON
Fiber patch Cables for Armer Radio System
95.40
04/26/2019
IT
AMAZON
Fiber patch Cables for Armer Radio System
13.35
04/29/2019
IT
AMAZON
Fiber patch Cables for Armer Radio System
15.90
04/01/2019
PRCE
AMAZON
Door Hinge
75.11
04/02/2019
PRCE
AMAZON
Exit Sign Protector
115.88
04/02/2019
PRCE
AMAZON
Wristbands
70.60
04/02/2019
PRCE
POOLWEBAQUATICTECH
Pool Strainer Knob
92.75
04/08/2019
PRCE
OPENTIP.COM
Bleacher End Caps
47.90
04/11/2019
PRCE
WHENIWORK.COM
Employee Scheduling
80.65
04/16/2019
PRCE
GREEN PAPER PRODUCTS
Cups, Lids, Straws and Clams
1,921.72
04/17/2019
PRCE
AMAZON
Pens
29.94
04/17/2019
PRCE
AMAZON
Markers, Whiteboard
32.97
04/17/2019
PRCE
AMAZON
Pencils, Pads and Post Notes
25.74
CHECK REGISTER A FOR CITY OF HUTCHINSON
CHECK DATE FROM 5/14/19 - 5/28/19
Check Date
--------------------
04/24/2019
Check
-------------------
PRCE
Vendor Name
-------------------------------------------------------------
POOLWEBAQUATICTECH
Description
-----------------------------------------------------------------------
Perlite
Amount
-----------------------
2,451.80
04/29/2019
PRCE
CONCEPTS AND DESIGNS, INC
Burner
107.42
04/09/2019
PLANNING
13213 TRAINING EDUCATION
account refund
(179.00)
04/12/2019
PLANNING
AMAZON
stand up desk for Andrea
159.99
04/17/2019
PLANNING
AMAZON
stand up desk for Maddie
159.99
04/23/2019
PLANNING
AMAZON
phone cord adapter
6.99
04/24/2019
PLANNING
AMAZON
belts for HVAC
10.97
04/25/2019
PLANNING
AMAZON
belts for HVAC
35.05
04/29/2019
PLANNING
GTS
planning commissioner training for Tom Wirt.
150.00
04/19/2019
POLICE
BEST WESTERN
Training MN Chiefs ETI Lodging
368.28
04/23/2019
POLICE
MINNESOTA BOOKSTORE
Data Privacy Guide books
61.10
04/24/2019
POLICE
BCA TRAINING & DEVELOPMENT
DMT Refresher - Nagel
75.00
04/25/2019
POLICE
AMAZON
Protective gloves for weapons and bloodborne
179.88
04/26/2019
POLICE
QDOBA 1740
Lunch for interview panel Lt. promotion
61.64
04/30/2019
POLICE
BCA TRAINING & DEVELOPMENT
Schmeling basic narcotics course
375.00
04/09/2019
PUB WORKS
PAYPAL
WWTF vacuum cleaner bags filters
21.49
04/17/2019
PUB WORKS
PAYPAL
WWTF garage heating unit fan motor
140.00
04/19/2019
PUB WORKS
HAYES INSTRUMENT CO
Engineering surveying supplies
680.74
04/19/2019
PUB WORKS
AMERICAN PUBLIC WORKS ASSN - APWA
Public Works Conference- Kent E.
829.00
04/29/2019
PUB WORKS
PAYPAL
RO Operations Maintenance Class - Jim N.
319.00
04/29/2019
PUB WORKS
PAYPAL
WW Refrigerated Sampler
3,499.99
04/29/2019
PUB WORKS
PAYPAL
WW Refrigerated Sampler - sales tax
258.12
04/29/2019
PUB WORKS
PSN MINNESOTA RWA MN
Backflow prevention workshop - Mike L.
160.00
04/30/2019
PUB WORKS
PSN MINNESOTA RWA MN
Engineering basics training - Tim G.
125.00
04/19/2019
CREEKSIDE
SPS COMMERCE
March 2019 SPS charges for UH, ACE, Bomgaars
303.90
04/26/2019
CREEKSIDE
AMAZON
Speaker mics for 2-way handheld radios
85.40
04/26/2019
CREEKSIDE
AMAZON
Speaker mics for 2-way handheld radios
42.70
04/26/2019
CREEKSIDE
AMAZON
Batteries for 2-way handheld radios
92.52
04/26/2019
CREEKSIDE
AMAZON
Batteries for 2-way handheld radios
46.26
04/26/2019
CREEKSIDE
RECYCLING ASSOCIATION
RAM conference for GreenCorp member E. Vollmer
20.00
04/01/2019
LIQUOR
FACEBOOK
Facebook ads
60.00
04/03/2019
LIQUOR
ACE HARDWARE
misc operating supplies
9.98
04/05/2019
LIQUOR
AMAZON
display basket
63.30
04/16/2019
LIQUOR
ACE HARDWARE
screws for cooler reset
10.58
04/16/2019
LIQUOR
RETAIL INFORMATION TEC
RITE monthly fee
213.75
04/16/2019
LIQUOR
RETAIL INFORMATION TEC
RITE support package
1,067.68
04/23/2019
LIQUOR
EIG CONSTANTCONTACT.COM
email blast advertising
70.00
04/17/2019
EDA
MIDAMERICA EDC
Registration for webinar
25.00
04/19/2019
EDA
MAIN STREET SPORTS BAR
Lunches for Finance Team meeting
76.24
Total- Purchasing Cards:
$ 19,925.85
GRAND TOTAL
$ 1,337,359.88
HUTCHINSON CITY COUNCIL CityafA
Request for Board Action
Agenda Item: Review of Water Wastewater Rate Structure Study Recommendation
Department: Water/Wastewater
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete
Contact: Kent Exner/John Paulson
Agenda Item Type:
Presenter: Karen Cavett - SEH
Reviewed by Staff
Communications, Requests
Time Requested (Minutes): 20
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
City staff has been working with SEH over the last 6+ months to evaluate our water and wastewater rates. This
evaluation involves a very detailed look into our past, present, and future revenues and expenditures at both the
Water and Wastewater Treatment Plants.
There are a number of reasons the rate study was initiated at this time:
• Rate evaluations should be conducted every ten years. The last one done for water/wastewater was in 2009
• State statute requires public water suppliers to adopt a DNR approved Water Conservation Rate structure
• The use of a January/February average for monthly sewer billing is not representative of the actual sewer use
• Evaluation of fixed versus variable expenses was needed to determine the need for adjustments to base versus
usage rates
The City's three goals for a rate structure included:
• Promote customer conservation of water use
• Provide fair and equitable rates
• Generate sufficient revenue stability
Attached for your reference is the "Water -Wastewater Rate Study Summary" that describes the various structures that
we currently use, that are used by other utilities, and what is being recommended for our future use.
Karen Cavett, SEH, has been leading this effort and will present on the projects various inputs and considerations
used to come to the recommended rate structures as noted in the Summary.
Staff recommends proceeding with the recommended rate structures as proposed in the Summary.
BOARD ACTION REQUESTED:
No formal action is required
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
SEH
Building a Better World
for All of Us®
TO: Honorable Mayor and City Council
FROM: Karen Cavett
DATE: May 22, 2019
RE: Water and Sewer Rate Study
SEH No. HUTCH 147735 14.00
MEMORANDUM
The goals of the water and sewer rate study are to identify a rate structure for each utility that will promote water
conservation, provide fair and equitable rates, and generate revenue stability. The attached "Rate Structure
Recommendation" identifies potential rate structures and the current versus recommended water and sewer rate
structures. The recommended utility rates include the recommendations summarized below which will be
discussed in further detail at the May 28, 2019 Council Meeting.
Summary of Recommendations:
• Switch from a decreasing block to an increasing block rate structure for water rates.
• Switch from a uniform to an increasing block rate structure for sewer rates.
• Base charge to include "fixed costs": labor & benefits, insurance, debt, phone, etc.
• Usage charge to include "variable costs": electricity, chemicals, biosolids, etc.
• Add the following classifications:
o Res -Mobil Home (currently classified as commercial and Res -Apartment)
o Res -Mixed (connections serving combined residential/commercial)
• Monthly usage charge for sanitary sewer is currently based on the average metered flow for January and
February. Change so usage charge is based on metered monthly flow January through December.
• Allow irrigation meters to be installed for exterior water use (watering lawns, gardens, filling pools, etc.).
• Irrigation meters: set cost per 1,000 gallons higher than cost per 1,000 gallons for water meters, to
encourage reduction of non -essential water use (no sanitary sewer fee for irrigation meter).
• Base charge for a single family connection = 1 Residential Equivalent Unit (REU) = 4,000 gallons.
• Base charge for a multi -family connection = 0.65 x # units.
• Base charge for non-residential connection = based on meter size (equivalent water use).
• Tiers for usage charge (water and sewer):
o Tier 1: 0 to 4,000 gal/month
o Tier 2: 4,001 to 8,000 gal/month
o Tier 3: 8,001 to 12,000 gal/month
o Tier 4: >12,000 gal/month
kac
Enclosure
p:\fj\h\hutch\147735\1-genl\16-meet\2019.5.28\seh memo - rate structure recommendations.docx
Engineers I Architects I Planners I Scientists
Short Elliott Hendrickson Inc., 11 Civic Center Plaza, Suite 200, Mankato, MN 56001-7710
SEH is 100% employee -owned I sehinc.com 1 507.388.1989 1 877.316.7636 1 888.908.8166 fax
1 Rate Structure Recommendation
The City of Hutchinson requested a study to evaluate the benefits and effects different drinking water and
sanitary sewer rate structures will have on customers. The City's three goals for a rate structure included:
• promote customer conservation of water use,
• provide fair and equitable rates, and
• generate sufficient revenue stability
The Minnesota Department of Natural Resources (DNR), per Minnesota Statutes Section 103G.291,
requires public water suppliers serving more than 1,000 people to adopt demand reduction measures,
including a water conservation rate, or a uniform rate with a conservation program. A water conservation
program is intended to reduce demand for water, improve efficiency in use, reduce losses and waste of
water.
A major benefit of water conservation is the reduction in both total daily and peak demands on water and
sewer systems. There are reduced demands placed on the City's existing infrastructure such as; wells,
water towers, treatment facilities, and collection and distribution systems, which delays capacity related
improvements.
To ensure fair and equitable rates, the cost of providing services was used to determine rates. Cost of
service identifies fixed and variable costs. Fixed costs are expenses that occur whether the City conveys
or treats 1 gallon or 1,000 gallons of water or wastewater. These costs include; insurance, debt, labor,
etc. Variable costs directly relate to the volume of water or wastewater conveyed or treated. These costs
include; electricity, chemical use, biosolids, etc. Fixed costs are typically covered by a monthly service
fee or base charge. Variable costs are typically covered by a usage charge or $ per 1,000 gallons.
The City currently receives revenue from a sales tax, approved through 2026. To ensure proposed rates
generate sufficient revenue, annual expenses and required revenue have been projected out past 2026 to
2040. The goal is to cover future projected expenditures without large increases in rates and to maintain
a minimum annual balance in each account based on each system's debt load and annual operation and
maintenances costs.
1.1 Recommended Rate Structure
All rate structures evaluated included a base charge for fixed costs and a usage charge for variable costs.
The usage charge is a cost per thousand gallons (per 1,000 gal) of metered water. The City bills monthly.
The recommended rate structure for both water and sewer usage is an increasing block rate structure.
An increasing block rate structure was selected because it promotes conservation without penalizing
medium volume users. The rate structure also can be incorporated into existing metering and billing
systems.
For the usage portion of the water and sewer rates, the following structures were evaluated:
• Decreasing Block
• Uniform
• Increasing Block
• Excessive Block
• Seasonal
• Time of Use
• Individualized Goal
Currently, billing for sewer service is based on average metered water use for the two months of January
and February. It is assumed this flow is representative of the average monthly flow that would be sent to
the sanitary sewer year round. We recommend that sanitary sewer flow be billed based on actual
monthly metered water use. By making this change, the City will maximize revenue, reduce losses, and
promote conservation. For users who irrigate their lawn, irrigation meters are available at the customer's
cost. Customers will not be charged sewer rates for flow through irrigation meters.
1.1.1 Decreasing Block
(Existing Water Rate Structure)
A decreasing block rate structure is a tiered (block) structure with a decreasing price per -unit as water use
increases. The city's existing rate structure is a decreasing block rate structure. A decreasing block rate
structure does not meet conservation requirements and is not allowed by state statutes. This rate
structure also does not meet the City's own conservation goals and is, therefore, not a recommended rate
structure.
1.1.2 Uniform
(Existing Sewer Rate Structure)
Minnesota Statutes require public water suppliers serving more than 1,000 people to adopt demand
reduction measures, including a water conservation rate, or a uniform rate with a conservation program.
In order to use a uniform rate structure a city must meet the water conservation goals, which include:
• Unaccounted water: < 10 percent
• Residential per capita demand: < 75 gallons per day
• Decreasing per capita demand
• Decreasing peak demand
Please note these concern drinking water rates only. The statute does not regulate sanitary sewer rates.
The City would occasionally meet some of the water conservation goals. However, a uniform rate
structure is not recommended because it does not consistently meet the State conservation rate structure
goals.
1.1.3 Increasing Block
(Recommended Water & Sewer Rate Structure)
An increasing block rate structure is a tiered (block) structure with an increasing price per -unit as water
use increases. Customers pay a lower rate for the first block of water used. An increased rate is then
applied to any water use that exceeds the first block, but falls within the second block. Typically, 3 to 4
blocks are used and the rates increase by 25% between blocks. The figure below is a basic example of
an increasing block rate structure. The rate structure promotes conservation through a reduced rate with
less water use.
$4 per 1,000 gal.
Tier 1
0 — 4,999 gal.
Increasing Block Rate Structure
$5 per 1,000 gal
Tier 2
5,000 — 6,999 gal.
$6.25 per 1,000
gal.
Tier
L7,000 — 8,999 gal.
The smaller the range is between tiers, the more customers will be able to reduce their use into a lower
tier by implementing conservation measures. Tiers are established based on the average water use of
the majority of customers. By establishing tiers in this manner, the number of customers who may benefit
from conservation is maximized. For example, approximately 97% of the City's water customers use an
average of 12,000 gallons per month or less. Tiers set at 12,000 gallons and less maximizes the
customers who may benefit from conservation measures.
An increasing rate structure is recommended for both the drinking water and sanitary sewer rate
structures because:
• The rate structure encourages conservation.
• The rate structure can be implemented with the City's current metering and billing system.
1.1.4 Rate Structures Not Recommended
Excessive Block
An excessive block rate structure is a tiered (block) structure with a large (excessive) increasing price per -
unit as water use increases. Typically, an excessive block rate encourages greater conservation than an
increasing rate structure. However, an excessive block rate structure can have a high financial impact on
customers, which was why it was not selected.
Seasona
A seasonal rate structure sets a higher price per -unit during peak water demand season (warm/summer
months) and lesser price per -unit demand during the low demand season (cold/winter months). The rate
structure promotes peak demand reduction by encouraging reduction of water use during peak periods of
the year. Conservation may occur when the higher rates are in place. However, it was not selected
because conservation is not encouraged year round and may increase confusion for customers.
Time of Use
A time of use rate structure sets a higher price per -unit during daily peak water demand. The rate
structure promotes peak demand reduction by encouraging reduction of water use during peak periods of
the day. Conservation may result from a time of use rate. However, it was not selected because
conservation is not encouraged year round, it may increase confusion for customers, and the current
metering and billing system does not support this billing structure.
Individual Goal Rate
An individual goal rate structure sets different rate structure for each customer. The rate structure
promotes conservation by tailoring rate structures to each customer's average use. However, this rate
structure takes significant time and resources to implement. It was not selected because the City's
existing meters and billing system are not able to implement the rate structure and the rate structure may
increase confusion and contention with customers.
1.2 Rate Structure — Base
It is recommended that the base charge be billed per residential equivalent unit (REU) for residential
customers and per meter size for non-residential customers. This is a change from the existing base
charge, which is billed per meter for drinking water and per connection for sanitary sewer.
Base Charge & Fixed Costs
The base charge of a rate structure covers fixed costs. Fixed costs do not change proportionally with a
minor change in flow. These costs typically include; labor & benefits, insurance, debt, phone, etc.
Residential Equivalent Unit (REU)
Residential equivalent unit (REU) is a way to normalize water use on a per connection basis for
residential users. The REU is calculated by dividing single-family water use by the number of single-
family connections. For the City of Hutchinson, one REU equals 4,000 gallons per month.
An REU can also be calculated for multifamily residential users. Multifamily water use is divided by the
number of multifamily units, instead of the number of multifamily connections. For the City of Hutchinson,
one multifamily REU equals 2,600 gallons per month. Knowing the REU aids in determining the base
capacity for each customer.
1.2.1 Residential Customer
Customer Classification
Residential users are typically classified as single-family customer and multifamily customers. The City
classifies multifamily customers further into residential apartment (Res -Apartment), residential
condominium (Res -Condo), and residential duplex (Res -Duplex). Three mobile home facilities are
located within city limits. We recommend creating a fourth multifamily classification for mobile home
facilities (Res -Mobile Home).
REU Factor for Residential Customers
One single-family customer typically equals one REU (4,000 gallons per month). Therefore, the base
charge for a single-family customer is one times the base charge. As noted above, multifamily customers
use 2,600 gallons per month or approximately 65% (2,600 divided by 4,000) of water compared to single-
family customers. For this reason, we recommended applying a factor of 0.65 to the base charge for
multifamily customers.
• Average single-family customer uses 4,000 gallons per month = 1 REU
• Average multifamily customer uses 2,600 gallons per month = 0.65 x 1 REU
Bill per Unit for Multifamily
We recommend billing multifamily dwellings base charges based on the number of units in the dwelling
multiplied by 0.65. Currently the base charge is billed by connection. For example, a 100-unit apartment
complex is only billed one base charge. By billing just one base charge for the apartment complex, the
base capacity for the apartment complex is not covered. By billing a base charge for each unit in a
multifamily dwelling times 0.65, the base capacity for the entire complex is accounted for. For example a
100-unit apartment would be billed 100 times the base charge times 0.65 and a 10-unit apartment would
be billed 10 times the base charge times 0.65.
1.2.1.1 Single Family Customer Recommendation
• One single family equals one REU, or one times the base charge.
1.2.1.2 Multi Family Customer Recommendation
• Create a classification for mobile home facilities under multifamily facilities.
• One multifamily unit equals 0.65 REU, or 65% times the base charge.
• Bill multifamily dwelling by the number of units times the base charge times 65%.
1.2.2 Non -Residential Customer
The City has two non-residential classifications, commercial and industrial. Unlike residential customers,
non-residential customer's water usage can vary significantly from customer to customer. We
recommend commercial and industrial base charges be based on the size of the water meter.
Meter Equivalent Units.
Water flow to commercial and industrial customers is limited by the size of the water meter. The larger
the meter, the larger the flow. Therefore, the allocated capacity is tied to the size of the meter. Meter
equivalent units are used to normalize the flow to a residential meter. For example, if the total flow for all
2-inch meters is 300,000 gallons and there are 30 users, the average flow per meter is 10,000 gallons.
By dividing 10,000 gallons by the REU of 4,000 gallons, the result is a meter equivalent unit of 2.5 for a 2-
inch meter. The bill is then calculated by multiplying the base charge by the meter equivalent unit.
1.2.2.1 Commercial Customer Recommendation
• Bill commercial customers by a Meter Equivalent Unit times the base charge.
1.2.2.2 Industrial Customer Recommendation
• Bill industrial customers by a Meter Equivalent Unit times the base charge.
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Water & Sewer Rate Study
Background information
Goals
Existing Water Rate Structure
• Water Conservation Rate Structures
• Existing Sewer Rate Structure
• Recommendations
A
SEH Building a Better World for All of Us°
Water & Sewer Rate Study
Background Data
Historical water demand (gallons/day)
• Projected population growth
• Projected commercial & industrial growth
• Water Use:
— Single Family
— Multi -Family
— Commercial
— Industrial
A
SEH Building a Better World for All of Us°
Water & Sewer Rate Study
Background Data
Historical water demand (gallons/day)
ChartArea Monthly Water Use
fi5,000
50,000
55,000
50,000
45,oao
40.000
35,000
30,000
25,000
20,000
A
SEH
—Water Demand 2015*
—Water Demand 2016*
—Water Demand 2017*
Average Monthly flow (gallons)
Year
Total
Gallons
per
Month
2015
506,960
42,250
2016
487,900
40,650
2017
1 495,480
1 41,290
fanuary February Martin April Mai June July August September October Maeember December
Select lower
flow year to
model
projected
income
Building a Better World for All of Us°
Water & Sewer Rate Study
Background Data
Projected population growth
Population - Projection
US Census Data +17yrsAvg Growth(0.37%) Projected
f 5 Yr Avg Growth (0.03%) --0-- Development {2.27 ppd} annual
15,500
increase in
15,DDD 15`077 population
14,500 14,6334--
0.37%
14,000 13,951
CL
13,500
13,000
12,5D0
Year
ppd — people per dwelling
A
SEH Building a Better World for All of Us°
A
SEH
Water & Sewer Rate Study
Background Data
2017 Total Sewer Sold By Customer Class [1000 gal]
• RES-
• RES- MOBILE
DUPLEX HOME
Total Water Use: 61 % residential
Building a Better World for All of Us°
Water & Sewer Rate Study
Goals:
- Promote water conservation
Comply with state mandated requirements:
Minnesota Statues, Section 103G.291
Requires public water suppliers serving more than 1,000 people to
adopt demand reduction measures, including a water conservation
rate or a uniform rate with a conservation program
• Provide fair and equitable rates
Generate sufficient revenue stability
- Define revenue requirements for the next 5 years
- Establish a long range plan (2026 tax levee lifted)
A
SEH Building a Better World for All of Us°
Current Water Rate Structure
Base Charge +Usage Charge ($/1000 gal)
• Base Charge = $7.85
• Usage Charge = $/1,000 gallons
— Residential/Retail to 150,000 gal/month = $ 4.34
— Commercial to 150,000 to 3,000,000 gal/month = $3.18
— Industrial over 3,000,000 gal/month = $2.36
Current Rate Structure: Decreasing Block
A
SEH
Building a Better World for All of Us°
A
SEH
Water Conservation Rate Structures
Rate Structure Examples:
Rate Structure
Pro/Con
1
Seasonal
Does not encourage year round
conservation
2
Time of Use
Existing metering system does not
accommodate
3
Individualized Goal
4
Excess Use
Blocks increase by 50% between
tiers
5
Increasing Block
Blocks increase by 25% between
tiers
N
Building a Better World for All of Us°
Water Conservation Rate Structure
Recommendation
Base Charge + Usage Charge ($/1000 gal)
• Increasing Block:
— Cost per gallon increases within specified blocks or
volumes.
— Rates should increase a minimum of 25% between
blocks
— Example:
• Block 1: $4.00 0 to 4,000 gallons
• Block 2: $5.00 4,001 to 8,000 gallons
• Block 1 $6.25 > 8,000 gallons
A
SEH Building a Better World for All of Us°
Water & Sewer Rate Structures
Recommendation
• Base Charge (Fixed Costs): Expenses that
occur independent of flow:
- debt principal and interest payments
- insurance
- overhead
- administration costs.
- - 75% of the collection system (wastewater)
- laboratory testing
A
SEH Building a Better World for All of Us°
Water & Sewer Rate Structures
Recommendation
• Usage Charge (Variable Costs): Expenses
that vary directly with the volume of flow:
- flows and loadings
- chemicals
- power
- water
- hauling of biosolids (wastewater)
- - 25% of collection system (wastewater)
A
SEH Building a Better World for All of Us°
Water & Sewer Rate Structures
Recommendation
Current classifications. -
Residential
• Res -Apartment
• Res -Condo
• Res -Duplex
Add the following classifications.
• Res -Mobil Home (Currently classified as Commercial and Res -Apartment)
• Res -Mixed (Connections serving combined residential/commercial)
A
SEH Building a Better World for All of Us°
Water and Sewer Rate Structure
Background Data
• Historical water demand
- Single Family = 4,000 gallons per month
1 Residential Equivalent Unit (REU) = 4, 000 gallons per month
- Multi -Family = 2,600 gallons per month
Multi -family uses - 65% of single family user (0.65 x REU)
A
SEH Building a Better World for All of Us°
Water Rate Study
Background Data
- Individual dwellings within a multi -family
dwelling are encouraged to bill each unit
separately.
Minnesota Statutes, section 103G.291
Example.
1 Apartment Complex with 20 units = 1 connection = 20 units
Multi -family uses - 65 % of single family user (0.65 x REU)
1 Apartment Complex of 20 units = 0.65 x 20 units = 13 REUs
A
SEH Building a Better World for All of Us°
Water - Cumulative Percent of Single Family Avg. Monthly Demand vs Base Avg. &
Warm Avg. 2017
-Annual Average 17 -Base Average 17 (Oct -Apr) Warm Average 17 (May -Sep)
100% ■ ■
95% I
90% Recommendation for Usage Charge:
80% I I Tier 1 = 0 — 4, 000 gal/month
75% Cold Months - 75% I I Tier 2 = 4,001 - 8, 000 gal/month
70°I°
Annual Avg. - 70i I I Tier 3 = 8, 001— 12, 000 gal/month
65% Warm Months- fi I I
Tier 4 > 12, 000 gal/month
55% r r
i
50% ■
c
45% 1 m
a 40%
35% 1
i
303'°
I I I
25
I I I
20%
15%
10°/° Tier 1 I Tier 2 Tier 3 I Tier 4
5%
0°/° I I I
0 1 2 3 4 5 0 7 8 9 10 11 12 13 14 15 10 17 18 19 20 21 22 23 24 25
Gallons per Month (1000 Gallons)
A
SEH Building a Better World for All of Us°
A
SEH
Water & Sewer Rate Structure
Recommendation
Residential
Single family connection = Base Charge + $/1,000 gallons
Multi -family connections = Base Charge (0.65 x Units) + $/1,000 gallons
Commercial & Industrial
• Base Charge (equivalent meter size/actual usage per meter) + $/1,000 gallons
--
r Size
Equivalent��
Meter Equivalents
513"
314"
T'
1 1/2"
2"
3"
4"
B"
1
1.05
2.05
0
1
0
00
2015
-
1
3.5
9
13
22
88
394
2013
-
1
3
8
13
22
8
362
201'
1
0
0
14
22
90
387
Recomme, ac
-
1
3.5
8
13
22
85
385
Building a Better World for All of Us°
Water System Connections vs. REUs
A
SEH
Background Data
Water (2017)
Conn.
REUs
SINGLE FAMILY
4,243
4,243
MULTI -FAMILY
RES-APARTMENT
110
1713
RES-CONDO
13
100
RES-DUPLEX
60
111
RES-MOBILE HOME
2
311
COMMERCIAL
449
2,139
INDUSTRIAL
9
2,644
TOTAL
4,
886
11,
261
Building a Better World for All of Us°
Current Sewer Rate Structure
Base Charge +Usage Charge ($/1000 gal)
• Base Charge = $6.41
• Usage Charge =based on Jan. &Feb water
usage - $6.42 per 1,000 gal
Load Charge: $5.75 per 1,000 gallons
BOD >140 mg/L = $0.43/lb
— TKD N >50 mg/L = $1.16/I b
— S Solids > 310 mg/L = $0.40/lb
Phosphorous > 6 mg/L = $5.82/lb
SEH Building a Better World for All of Us°
A
SEH
Sewer Rate Structure
Recommendation
• Usage charge: base on monthly water use
ChartArea Monthly Water Use
fi5,000
%A!-. —, rl.-.... .....-1 ' nl C*
50,000
55,000
50,000
45,000
40,000
35,000
30,000
25,000
Year
Gallons
Month
2015
506,960
42,250
2016
487,900
40,650
2017
495,480
41,290
20,000
January February March April May June July August September October November December
Building a Better World for All of Us°
Sewer Rate Structure
Recommendation
• Usage charge based on monthly water use
— Encourage water conservation
— Capture metered flow sent to wastewater system
— Allow installation of irrigation meters for watering
lawns/gardens/filling pools/etc.
— Same usage tiers as water
A
SEH Building a Better World for All of Us°
A
SEH
Sewer System Connections vs. REUs
Background Data
Sewer (2017)
Conn.
REUs
SINGLE FAMILY
4,198
4,198
MULTI -FAMILY
RES-APARTMENT
108
1,611
RES-CONDO
13
100
RES-DUPLEX
59
110
RES-MOBILE HOME
3
337
COMMERCIAL
417
17713
INDUSTRIAL
3
1,981
TOTAL
4, 801
101050
Building a Better World for All of Us°
Questions?
A
SEH
Building a Better World for All of Us°
HUTCHINSON CITY COUNCIL CityafA
Request for Board Action
Agenda Item: 2019 Ash Tree Removal -Replacement Project
Department: Public Works
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff
Unfinished Business
Time Requested (Minutes): 0
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
Pursuant to the direction received at the April 9, 2019 City Council meeting, City staff is proposing removal and
replacement of 113 ash trees, identified in the attached documents. Prior to soliciting price quotations for this work,
the City Council requested the chance to review the proposed project.
It should be noted that several of the trees identified are adjacent to or on City -owned property. This was deemed
necessary, given the relatively short time frame given to complete the project, subsequent to its approval. In all, the
proposed project is to remove and replace:
72 - Boulevard trees
25 - Park trees
2 - Private trees
14 - Trees pending responses
113 - Total
Trees pending responses are boulevard trees in the Church St SW/Merrill St SW neighborhood (between South
Grade Rd SW & Linden Ave SW).
$ 67,800 - Tree removals $100,000 - Funds approved April 9, 2019
$ 56,500 - Tree plantings $ 40,000 - Tree Disease/Infestation Mitigation Account
$ 1,300 - Soil amendments
$ 9,500 - Stump grinder attachment $140,000 - Total Project Funding Sources
$ 2,825 - Stakes, guys, arbor tyes, etc.
$ 2,071 - Watering bags
$139,996 - Total Project Costs
BOARD ACTION REQUESTED:
Approve/Deny 2019 Ash Tree Removal -Replacement Project.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost: $ 140,000.00
Total City Cost: $ 140,000.00 Funding Source: $40K-Usual FDP project; $100K-Special
Remaining Cost: $ 0.00 Funding Source:
2019 Ash Tree Removal/Replacement Project — Special Provisions highlighted:
• All plantings will be on City rights -of -way or in City Parks.
• City shall identify sites. Contractor is responsible for locating underground utilities.
• Contractor shall source 2.5" trees. Flexibility for tree sizes may be necessary, based on
availability of the specified species. Priority goes to planting the specified species ahead
of the size of tree.
• Balled -and -burlap planting practices include removal of burlap to the top ring of the
basket and removal of the top ring. The rest may be planted.
• Contractor shall supply initial watering. Contractor to notify City whenever completing a
planting. City staff will initiate follow-up watering. City staff will install watering bags
and fill them weekly.
• Contractor shall supply a warranty between planting and leaf out in the first season
following planting. Contractor is not responsible for physically damaged trees (animals,
salt, vandalism, accidents, etc.).
• Staking need to be determined in the field. If stakes and guys are used, the contractor
shall install 3 ea. t-posts, with arbor ties or wire installed in such a manner as to protect
the bark.
• Contractor to apply 2 cups of time -release fertilizer to backfill of hole.
(Osmocote/Everris, Florikan, Sustane) in a 3-1-2 ratio. Preferred formulation is
Osmocote/Everris or Florikan 17-5-11.
• Mulch shall be applied in a 36" ring around the trunk to a depth of 4", generally requires
1/3 CY (9 cu. Ft.). Hardwood mulch only, no bark nuggets.
• Planting sites will frequently be in a ground stump hole. Stump grinding contractor shall
sufficiently grind/remove roots to allow for planting a new tree. Backfill in the stump
hole shall be good soils suitable for planting. Contractor shall notify the City of any
adverse planting conditions they encounter. City will work with contractor to rectify any
problems.
Assumed Responsibilities of City Staff:
• Identify the site where trees are to be removed/replaced.
• Approve tree plantings by size available and tree species.
• City staff will install water bags on newly planted trees and fill them weekly through the
summer.
• City staff may determine staking and guys are necessary and may install them.
• City staff shall inspect and determine reasonable soil amendments in cases where
adverse planting conditions are identified by the Contractor.
City -related purchases as part of the project:
Stump grinder attachment. Acquisition of a stump grinder attachment will increase
available options and lower the cost for future removal/replacement projects. Being
able to remove smaller stumps at or shortly after the time of tree removal will result in
less time between removal and replacement. Historically, it has taken approximately
one season to replace trees that were removed, in order to provide enough time for
stump removal to be done. With a stump grinder attachment, smaller stumps could be
removed immediately after the tree has been removed, to allow for tree replacement in
the same season.
2. Stakes, guys, arbor tyes, etc. Acquisition of an appropriate amount stakes, guys, arbor
tyes, etc. will allow for installations in all areas where staking is needed or would be
beneficial. Staking improves the likelihood of successful tree planting in areas where
soil conditions are less than ideal.
3. Watering bags. Watering bags are ideal for new plantings, as they slowly release the
water over a period of time. Once installed, City staff fills the water bags once each
week during summer months. Water bags can be reused.
2019 Ash Tree Removal/Replacement Project
Project Cost Estimate
Tree removals
EA
113
$ 600.00
Contract
$ 67,800.00
Tree replacements 2.5"
EA
113
$ 500.00
Contract
$ 56,500.00
Topsoil, soil amendment
CY
20
$ 65.00
Contract
$ 1,300.00
Stump grinder attachment
EA
1
$ 9,500.00
City
$ 9,500.00
Stakes, guys, arbor tyes, etc.
EA
113
$ 25.00
City
$ 2,825.00
Watering Bags
JEA
154
$ 13.45
City
1 $ 2,071.30
TOTAL PROJECT COST ESTIMATE I L=L----]$ 139,996.30
Project Funding Sources
Extra funding from City Council - 04/09/19 1 1 1 $ 100,000.00
Tree Disease/Infestation Mitigation Account J 1 1 $ 40,000.00
TOTAL PROJECT FUNDING SOURCES 11 00 5 140,000.00
Project removal/replacement
Boulevard trees 72
Park trees 25
Private trees 2
Pending responses 14
Total 113
# House q Site Street Name JAdjacent property IlLocation Ispecies I ❑BH (in) Comments
1
980
2nd Ave SE
Ridgewater College (E campus)
Blvd
Ash, Green
20
Michigan St side
2
980
2nd Ave SE
Ridgewater College (E campus)
Blvd
Ash, Green
20
Michigan St side
3
980
2nd Ave SE
Ridgewater College (E campus)
Blvd
Ash, Green
20
Michigan St side
4
134
3rd Ave SE
Residential
Blvd
Ash, Green
32
5
915
Adams St SE
3M plant
Blvd
Ash, Green
16
6
915
Adams St SE
3M plant
Blvd
Ash, Green
15
7
915
Adams St SE
3M plant
Blvd
Ash, Green
15
8
915
Adams St SE
3M plant
Blvd
Ash, Green
14
9
915
Adams St SE
3M plant
Blvd
Ash, Green
14
10
915
Adams St SE
3M plant
Blvd
Ash, Green
16
11
915
Adams St SE
3M plant
Blvd
Ash, Green
16
12
915
Adams St SE
3M plant
Blvd
Ash, Green
21
13
915
Adams St SE
3M plant
Blvd
Ash, Green
17
14
915
Adams St SE
3M plant
Blvd
Ash, Green
17
15
915
Adams St SE
3M plant
Blvd
Ash, Green
15
16
815
Church St SW
Residential
Blvd
Ash, Green
30
17
815
Church St SW
Residential
Blvd
Ash, Green
25
18
882
Elm St NE
Residential
Blvd
Ash, Green
19
19
401
Fischer St SW
Residential
Blvd
Ash, Green
22
20
900
Harrington St SW
Linden Park
Blvd
Ash, Green
17
21
900
Harrington St SW
Linden Park
Blvd
Ash, Green
18
22
900
Harrington St SW
Linden Park
Blvd
Ash, Green
23
23
900
Harrington St SW
Linden Park
Blvd
Ash, Green
28
24
900
Harrington St SW
Linden Park
Blvd
Ash, Green
23
25
900
Harrington St SW
Linden Park
Blvd
Ash, Green
11
26
900
Harrington St SW
Linden Park
Blvd
Ash, Green
21
27
900
Harrington St SW
Linden Park
Blvd
Ash, Green
18
28
900
Harrington St SW
Linden Park
Blvd
Ash, Green
21
29
900
Harrington St SW
Linden Park
Blvd
Ash, Green
22
30
900
Harrington St SW
Linden Park
Blvd
Ash, Green
15
31
900
Harrington St SW
Linden Park
Blvd
Ash, Green
24
32
9001
Harrington St SW
Linden Park
Blvd
Ash, Green
25
33
900
Harrington St SW
Linden Park
Blvd
Ash, Green
24
34
900
Harrington St SW
Linden Park
Blvd
Ash, Green
22
35
900
Harrington St SW
Linden Park
Blvd
Ash, Green 1
21
36
900
Harrington St SW
Linden Park
Blvd
Ash, Green
17
37
900
Harrington St SW I
Linden Park
Blvd
Ash, Green
20
38
900
Harrington St SW
Linden Park
Blvd
Ash, Green
17
39
900
Harrington St SW
Linden Park
Blvd
Ash, Green
25
40
900
Harrington St SW
Linden Park
Blvd
Ash, Green
18
41
900
Harrington St SW
Linden Park
Blvd
Ash, Green
16
42
900
Harrington St SW
Linden Park
Blvd
Ash, Green
25
43
9001
Harrington St SW
Linden Park
Blvd
Ash, Green
23
44
900
Harrington St SW
Linden Park
Blvd
Ash, Green
19
45
900
Harrington St SW
Linden Park
Blvd JAsh,
Green
13
46
900
Harrington St SW
Linden Park
Blvd
Ash, Green
8
47
900
Harrington St SW
Linden Park
Blvd
Ash, Green
17
48
900
Harrington St SW
Linden Park
Blvd
Ash, Green
13
49
900
Harrington St SW
Linden Park
Blvd
Ash, Green
24
50
900
Harrington St SW
Linden Park
Blvd
Ash, Black
2
51
900
Harrington St SW
Linden Park
Blvd
Ash, Black
2
52
900
Harrington St SW
Linden Park
Blvd
Ash, Black
2
53
900
Harrington St SW
Linden Park
Blvd
Ash, Black
3
54
1212
1 Hwy 7 W
Oddfellows Park
Park
Ash, Green
21
55
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
14
56
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
11
57
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
11
58
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
11
59
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
10
60
12121
Hwy 7 W
Oddfellows Park
Park
Ash, Green
17
61
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
10
62
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
10
63
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
8
64
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
12
65
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
11
66
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
13
67
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
12
68
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
13
69
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
17
70
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
12
71
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
14
72
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
14
73
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
15
74
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
8
75
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
10
76
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
16
77
1212
Hwy 7 W
Oddfellows Park
Park
Ash, Green
14
78
300
Main St N
Eheim Park
Park
Ash, Green
0
79
814
Merrill St SW
Residential
Blvd
Ash, Green
34
80
10
Michigan St NE
Commercial
Blvd
Ash, Green
15
81
110
Michigan St NE
Commercial
Blvd
Ash, Green
18
82
150
Michigan St SE
Commercial
Blvd
Ash, Green
20
83
175
Michigan St SE
Hutchinson Utilities
Blvd
Ash, Green
15
84
175
Michigan St SE
Hutchinson Utilities
Blvd
Ash, Green
18
85
225
Michigan St SE
Hutchinson Utilities
Blvd
Ash, Green
20
86
225
Michigan St SE
Hutchinson Utilities
Blvd
Ash, Green
22
87
225
Michigan St SE
Hutchinson Utilities
Blvd
Ash, Green
22
88
225
Michigan St SE
Hutchinson Utilities
Blvd
Ash, Green
24
89
325
Michigan St SE
Commercial
Blvd
Ash, Green
18
90
325
Michigan St SE
Commercial
Blvd
Ash, Green
22
91
325
Michigan St SE
Commercial
Blvd
Ash, Green
20
92
335
Michigan St SE
Commercial
Blvd
Ash, Green
22
93
335
Michigan St SE
Commercial
Blvd
Ash, Green
22
94
335
Michigan St SE
Commercial
Blvd
Ash, Green
22
95
340
Michigan St SE
Commercial
Blvd
Ash, Green
20
96
345
Michigan St SE
Commercial
Blvd
Ash, Green
18
97
755
Neal Ave SW
Residential
Blvd
Ash, Green
31
98
835
Elm St NE
Residential
Private
Ash, Green
27
99
835
Elm St NE lResidential
i
Private lAsh,
Green
36
113
14 ea.
Church /Merrill St SW
Residential
Boulevard/Private
Ash, Green
18 avg.
PENDING
City of Hutchinson +
Forestry Diversification i
Project 2019
N .}
1 i I
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17. -
980 — 2nd Ave SE
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HUTCHINSON CITY COUNCIL CityafA
Request for Board Action
Agenda Item: Ordinance No. 19-800 - Authorizing Franchise with TDK/HTI and Uponor
Department: Legal
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete
Contact: Marc A. Sebora
Agenda Item Type:
Presenter: Marc A. Sebora
Reviewed by Staff
Unfinished Business
Time Requested (Minutes): 5
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
As part of the City's discussions with HTI/TDK and Uponor and the construction of the new roadway, Technology
Drive NE, it was determined that the companies' current business sign was located in the middle of the roadway.
Because the City does not permit such signs in the middle of public streets, it was determined that the sign would be
relocated on the west side of the street entrance, however would be located on city -owned property. To accomplish
this, a franchise needs to be authorized by the City so that there is a formal recognition that the sign is permitted on
public property. There would be no cost for the businesses as part of the franchise, however insurance is required for
requirement for liability purposes so that the city may be indemnified if there is a claim involving the sign.
The enclosed franchise agreement meets City requirements and has been agreed to by both HTI/TDK and Uponor.
The term of the franchise is 20 years.
No changes have been made to the franchise agreement since the May 14, 2019, Council meeting.
BOARD ACTION REQUESTED:
Second reading and adoption of Ordinance No. 19-800 issuing franchise to TDK/HTI and Uponor.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
Ordinance No. 19-800
Publication No.
AN ORDINANCE OF THE CITY OF HUTCHINSON, MINNESOTA, GRANTING TDK/HTI
AND UPONOR N.A. THE RIGHT TO ENCROACH UPON THE PUBLIC RIGHT OF WAY
OF TECHNOLOGY DRIVE N.E. IN THE CITY OF HUTCHINSON
THE CITY OF HUTCHINSON ORDAINS:
Section 1. The City of Hutchinson, in the County of McLeod, State of Minnesota,
hereafter referred to as Grantor, hereby grants Hutchinson Technology Incorporated, a
Minnesota corporation and Uponor NA Asset Leasing, a Delaware corporation, hereafter
referred to as Grantees, a franchise to place, construct and maintain signage certain in the right of
way of Technology Drive N.E., as described in Exhibit A, on certain property owned by the City
of Hutchinson, described as follows:
SEE ATTACHED EXHIBIT "A"
Section 2. The franchise is granted for a term of 20 years commencing on the date of
the acceptance of the franchise. Grantees shall file a written acceptance of the franchise with the
City Administrator of the City of Hutchinson within thirty (30) days after the effective date of
this ordinance. The franchise shall become effective only when the acceptance has been filed
and evidence of the general liability insurance to be maintained by Grantees, as provided for in
this grant of franchise, has been delivered to the City of Hutchinson.
Section 3. Grantor reserves the right to enforce reasonable regulations concerning
construction, operation and maintenance of facilities located along, over and under the public
premises before mentioned and the placement of such facilities.
Section 4. Grantees shall indemnify and defend Grantor, its boards, commissions,
officers, agents and employees, in any and all other public agencies, and their members, officers,
agent and employees (the "Indemnified Parties"), against any and all liabilities for injury to or
death of any person or any damage to any property caused by Grantees, its officers, agents or
employees in the construction, operation or maintenance of their property, or arising out of the
exercise of any right or privilege under the franchise, but specifically excluding all liabilities
caused by or attributable to the gross negligence or willful misconduct of Grantor or any other
Indemnified Party.
Section 5. At all times during the term of the franchise, Grantees will, at their own
expense, maintain in force general liability insurance, with an insurance company and with
policy limits approved by the City of Hutchinson of not less than $1,500,000.00 per occurrence
which approval shall not be unreasonably withheld, conditioned or delayed, such policies, being
for the protection of Grantor and its officers, agents and employees, against liability for loss or
damage for bodily injury, death or property damage occasioned by the activities of the grantees
under the franchise, and shall name the City of Hutchinson as an additional insured. Grantees
shall have the right to satisfy the insurance obligations under this Section 5 through a blanket
081249\014\446623 8.v 1
policy covering other properties, provided that insurance requirements in this Section 5 are
otherwise satisfied by such blanket policy.
Section 6. Grantees shall not have the right to assign the franchise or otherwise
transfer it in any manner whatsoever or sell, lease, license, mortgage or permit others to use in
any manner whatsoever any interest in all or any part of its facilities that are installed or operated
under this grant, except on prior written approval by ordinance of the City Council of the City of
Hutchinson
Section 7. In the event that the Grantees should cease to exist or should fail to use the
franchise for one consecutive calendar year, this franchise shall be deemed null and void and
shall revert to the City of Hutchinson without any action on the part of the City of Hutchinson
whatsoever.
Section 8. At the point of expiration of this franchise or nullification under Section 7
of this agreement, the encroachments shall be removed from the right of way at the Grantees'
expense.
Section 9. The Grantees shall record this franchise agreement in the McLeod County
Recorder's office within 30 days of its acceptance.
Section 10. This ordinance shall take effect from and after passage and publication,
subject to the provision above requiring written acceptance by the Grantees.
Adopted by the City Council, this day of 52019.
Mayor
Attest:
City Administrator
Published in the Hutchinson Leader on
First Reading: May 14, 2019 Second Reading: , 2019
EXHIBIT "A"
That part of Parcel 1 of CITY OF HUTCHINSON STREET RIGHT OF WAY PLAT NO. 14, according to the
recorded plat thereof, in part of the West Half of the Southeast Quarter of Section 32, Township 117
North, Range 29 West, McLeod County, Minnesota, described as follows:
Beginning at the intersection of the westerly line of said Parcel 1 with the northerly line of MINNESOTA
DEPARTMENT OF TRANSPORTATION RIGHT OF WAY PLAT NO. 43-37, according to the recorded plat
thereof; thence northerly, along the westerly line of said Parcel 1 a distance of 25.03 feet; thence
easterly, parallel with said northerly line of MINNESOTA DEPARTMENT OF TRANSPORTATION RIGHT OF
WAY PLAT NUMBER 43-37 a distance of 20.02 feet; thence southerly, parallel with said westerly line of
Parcel 1 a distance of 25.03 feet to said northerly line of MINNESOTA DEPARTMENT OF
TRANSPORTATION RIGHT OF WAY PLAT NO. 43-37; thence westerly, along said northerly line 20.02 feet
to the point of beginning.
HUTCHINSON CITY COUNCIL ci=v-f�
Request for Board Action 7AL =-ft
Agenda Item: Consideration of Waiving VMF Field Rental Fees for the Hutchinson Huskies
Department: Administration
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete N/A
Contact: Matt Jaunich
Agenda Item Type:
Presenter: Matt Jaunich
Reviewed by Staff
New Business
Time Requested (Minutes): 5
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
The Hutchinson Huskies Amateur Baseball Club is requesting (letter attached) to the City Council that you waive the
field rental rates at VMF Field for a tournament they will be hosing on July 31 to August 11, 2019. The fees they are
specifically asking to have waived are as follows:
Day Game Field Rental -- $45
Night Game Field Rental -- $90
Concession Fee -- 15% of Sales
Please note that the City does not set, nor are we involved in, gate fees collected at VMF Field. Those fees are left up
to the renters of the facility.
With an 8-team double elimination bracket, we are anticipating 14 or 15 games will be played.
The City estimates that the total value of this request to the City is about $2,000 - $2,500
When it comes to the VMF Field, staff can recall the City waiving fees only 3 times in the last 30 years and that was
for the occurrences of when the City hosted the State Amateur Baseball Tournament.
Due to the variety of clubs that rent our various facilities for various tournaments (hockey, basketball, volleyball, etc.),
staff is not recommending that the fees be waived.
If there is a desire from the Council to assist the Huskies in some way, I would recommend that you waive the
concession fee only. That added revenue could be used to pay the field use rental.
BOARD ACTION REQUESTED:
Approve/Deny Waiving VMF Field Rental Fees for the Hutchinson Huskies to host the Region 12C 2019 Tournament
from July 31 to August 11
Fiscal Impact: $ 2,000.00 Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
May 151" 2019
To: City of Hutchinson Mayor and Council,
Re: Fee waiver request for Region 12C 2019 Tournament at VMF
Mayor and Council,
The Hutchinson Huskies Amatuer Baseball has been selected to host the 2019 Region 12C play — offs at
VMF field July 31s'—August 11th.
The event will take place over a ten day period.
There will be 8 area teams from the North Star League that will be playing a double elimination
tournament to advance to the State Tournemant hosted this year by Maple Lake, Delano and Dassel.
There will be siginificant expenses and work that will be done by our association to host this event and
we only get a chance to host every 8 years.
We are asking that all fee's including field rent and the 15 % fee's be waived for the ten day period. The
Huskies agree to provide the necessary support and manpower to assist with the facility operations.
Siginificant cost include supplying baseballs, ppaing umpires, and sharing the gate fee's with all 8 teams.
PRCE has been notifed of this request in Late April.
Please consider this request as another chance for us to showcase our community and facility.
Sincerely
John Arlt
Hutch Huskies President
lim
HUTCHINSON CITY COUNCIL CityafA
Request for Board Action
Agenda Item: Ice Resurfacer purchase
Department: Parks
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete
Contact: Mary Haugen
Agenda Item Type:
Presenter: Mary Haugen
Reviewed by Staff
New Business
Time Requested (Minutes): 0
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
Our year 2000 Zamboni ice resurfacer was scheduled to be replaced in 2021 with funding from the city's Fleet Fund
(heavy equipment). Citizen's Bank & Trust Company funded the purchase price of this machine in 1999 in the
amount of $50,000. We have used it and maintained it for the last 20 seasons and it has the equivalent mileage of
over 250,000 miles.
The I. J. Burich Foundation recently donated $60,000 toward the purchase of a new ice resurfacer with the
understanding that it be put into service in early 2020.
The City of Hutchinson is a member of Sourcewell (formerly National Joint Powers Alliance). This government
cooperative works with manufacturers and vendors to create bidding and contract documents. Sourcewell awards
competitively solicited purchasing contracts under the guidance of the Uniform Municipal Contracting Law. Joint
powers laws enable members to legally purchase through awarded contracts. Many Minnesota municipalities use this
cooperative for purchasing to ensure good pricing and to increase purchasing process efficiency.
The Sourcewell price of a replacement battery powered Zamboni is $141,791. The lead time for delivery of a new
machine is estimated at 6-8 months. We recommend that we consider this purchase as a necessity for our buildings'
operations.
City staff is available to answer any questions that you may have.
BOARD ACTION REQUESTED:
Approval to purchase Model 552AC Zamboni ice resurfacer through Sourcewell. Delivery and funding to occur in
2020.
Fiscal Impact: $ 81,791.00 Funding Source: Fleet Plan
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost: $ 141,791.00
Total City Cost: $ 81,791.00 Funding Source: Fleet - (heavy equipment)
Remaining Cost: $ 60,000.00 Funding Source: Burich Foundation Donation - received
FRANK J. ZAMBONI & CO_, INC.
15714 Co€orado Avenue
Paramount, CA 90723-0770
Phone (562)633-0751
Fax (562) 633-9365
wwvv.zamboni.[om
April 3, 2019
Mary Haugen
Burich Arena
950 Harrington Street SW
Hutchinson, MN 55350
PROPOSAL
MODEL: Zamboni 552AC
QUANTITY: One (1)
CAPACITY: Full Size
• Snow Tank
100 cubic feet (actual volume)
120 cubic feet (compacted)
• Ice Making Water Tank
Constructed of High Density Polyethylene
200 U.S. gallons
Wash Water Tank (optional)
Constructed of High Density Polyethylene
82 U.S. gallons
Total Water Capacity
282 U.S. gallons
ELECTRONIC
CONTROLS: Sevcon® Gen4 AC Motor Controllers
• Sevcon solid state controls provide for infinitely
Variable traction speeds, as well as optimum
control of the accessory pump operations.
• Sevcon controls offer the latest in electronic
technology and provide exact optimized control to
achieve outstanding operability. These controls
have been proven throughout the world in
demanding applications such as forklifts and
airport equipment.
;znn0inonii:,,,
ELECTRONIC
CONTROLS: "On -Board" Diagnostic Features
(Cont'd) • Operator faults, eg. starting in gear or parking brake
on
• Faults due to Component failure
• Motor temperature warning
Sevcon Display
• Sevcon dash display relays information about the
motor controllers
• Full diagnostics with alphanumeric display including
fault codes
• Battery Discharge Indicator (BDI) and motor
controller hour meters.
ELECTRIC
MOTORS: • 24 HP (18kW) brushless AC traction motor w/
temperature sensor
• 11 HP (8kW) brushless AC pump motor w/
temperature sensor
BATTERY &
CHARGER: • 510 Amp Hour heavy-duty industrial type lead acid
batteries. Heavy-duty features include a tabular
solid plate design and heat bonded jar.
• "Intelligent" charger is microprocessor controlled to
provide the best charging sequence in all
conditions.
DRIVETRAIN: Dana/Spicer Axles
• Front - Model 60, rated 6,400 lb. capacity.
• Rear - Model 60, rated 6,200 lb. capacity and is a
rigid, full -float design.
• Because the 552 uses Spicer/Dana axles that are
optimized for our chassis, we offer the industry's
highest manufacturer approved axle capacities.
DRIVETRAIN: Our chassis/axle combination is the key to the
Zamboni 552 having a turning radius of 16 feet, a
full 3 feet tighter than most other machines.
Transfer Case
• Rugged cast iron housing for rigid gear and bearing
support. Heat -treated alloy steel gears are helical
cut for greater strength and lower noise.
• Traction drive motor is directly -mounted to the
housing for long shaft life.
Chassis
• 2" X 5" structural steel tubing for high strength and
long service.
Proposal Page 2
HYDRAULICS: Pump and Motor
• Gear -type for high efficiency, flow and speed. This
design has been proven in many rugged
applications and helps to continue Zamboni's
reputation for the best conveyor performance in the
industry.
Steering Pump
• The use of a hydraulic steering system provides
very smooth power steering with little effort.
Filtration and Tank
• Parker 10 micron hydraulic filter ensures a clean
environment for all hydraulic components.
• Large 21 gallon tank enhances hydraulic fluid travel
to rid the oil of entrapped air and increase heat
dissipation.
SNOW TANK
AND AUGERS: • Large snow capacity and tank design provides all
areas of the snow tank to be completely filled, even
the top and rear corners.
• Both 10 inch large diameter augers are double -
flighted to ensure good performance even during
heavy shaving and the augers are powder coated
for durability.
CONDITIONER: • Zamboni Ice Resurfacers have a well -deserved
reputation for producing the finest sheet of ice,
even after many years of being in use.
• A unique design of spring and hydraulic down
pressure is used for superior shaving results.
• Performance will continue for the life of the machine
by using replaceable bushings and springs.
HUMAN
ENGINEERING: • The operation of the 552 is very simple. The
operator selects the travel direction, then drives the
machine with a foot control. Because the
conveyors are independent of vehicle speed, the
552 provides full power and speed to the augers at
all times, even when slowing for corners.
• Speed is controlled by a single foot pedal. A solid-
state electronic actuator provides smooth and
responsive acceleration.
Proposal Page 3
ELECTRONIC
CONTROLS:
(Cont'd)
FACILITY
ENGINEERING:
• Operator compartment has an ergonomic layout
and includes a modern steering wheel with spinner
knob.
• The MOSFET electronic controls, while securely
locked to inhibit unauthorized entry, are
conveniently located should service be necessary.
The battery is easily accessed through both side
doors for routine maintenance checks, even with
the snow tank down.
• Wiring and looms are well routed and protected.
• Vertical auger cover reduces noise and provides an
aesthetically pleasing look to the rear platform of
the machine.
MANUFACTURER'S
STATEMENT:
WARRANTY:
SAFETY
STANDARDS
Zamboni Ice Resurfacers offer unparalleled shaving
and snow conveyor performance. A quality sheet of
ice is among an arena's primary selling features.
Zamboni has the tightest turning radius in the
industry, enabling operators to resurface deeper
into their corners.
The snow tank on the 552 is designed with a flat
bottom and sides, allowing for the snow to slide out
with the least amount of residue and at a much
lower height. This is important for both dumping
indoors as well as outdoors in adverse conditions.
Polyethylene ice -making water tank is standard.
This tank is completely rust free and has a 8" quick
access cover for inspection and clean -out.
The Model 552 is proudly designed and
manufactured in Paramount, California by Frank J.
Zamboni & Co., Inc., a United States company.
Twenty Four (24) months or 2,000 hours, parts
replacement only.
The 552 is engineered to meet or exceed A.N.S.I.
safety labelling requirements.
Proposal Page 4
SOURCEWELL Zamboni 552AC.........................................$124,995.00
CONTRACT
PRICING: •
510 AH Battery with Charger ..................
$
Included
•
Board Brush ...........................................
$
5,850.00
•
Aluminum Wheels ..................................
$
Standard
•
Wash Water System w/ Poly Tank.........
$
4,900.00
•
Guide Wheel ..........................................
$
Standard
•
Black Powder Coated Conditioner..........
$
Standard
•
Parking Brake .........................................
$
Standard
•
Electronic Water Level Sight Gauge ......
$
500.00
•
Conditioner Poly Side Plate ....................
$
Standard
•
Stainless Steel Water Distribution Pipe..$
400.00
•
Viscous Coupling Drive Shaft .................
$
1,700.00
•
Single Point Watering System for Batteries
. $
1,625.00
•
Conti Blade Changer ..............................$
2,495.00
SUB -TOTAL: $142,465.00
Less Sourcewell Discount ($4,273.95)
Transportation $ 3,600.00
TOTAL: $141,791.05
F.O.B.: Paramount, CA
TERMS: Net 30 days.
Shipment 210 days or sooner from receipt of order.
Pricing firm for 30 days.
Pricing does not include any applicable sales tax.
THANK YOU:
Doug Peters
Regional Sales Manager
Frank J. Zamboni & Co., Inc.
15714 Colorado Avenue
Paramount, CA 90723
Phone: (562) 633-0751
Fax: (562) 633-9365
4/3/19
Date
Sec/m_hangen552AC4-3.propp2-5 Proposal Page 5
HUTCHINSON CITY COUNCIL ci=v-f�
Request for Board Action 7AL =-ft
Agenda Item: Consideration of First Reading of Ordinance Exemption No. 19-801
Department: PW/Eng
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete N/A
Contact: Kent Exner
Agenda Item Type:
Presenter: Kent Exner
Reviewed by Staff
New Business
Time Requested (Minutes): 5
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
City staff recently received a request from the general contractor for the City's 5th Avenue Reconstruction project
(Letting No. 1/Project No. 19-01) to revise our City noise ordinance requirements, Saturday 9:00 AM start time revised
to 7:00 similar to weekdays, for all weekends this summer/fall. Please note that this project is scheduled to be
completed by September 27, 2019.
City staff believes that this is a reasonable request and feels that the extended working hours will hopefully ensure
that the City specified construction completion dates are achieved by the contractor.
BOARD ACTION REQUESTED:
Approval of City Ordinance No. 19-801 First Reading
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost: $ 0.00
Total City Cost: $ 0.00 Funding Source:
Remaining Cost: $ 0.00 Funding Source:
ORDINANCE NO. 19-801
AN ORDINANCE SUSPENDING ENFORCEMENT OF HUTCHINSON CITY
ORDINANCE 92.018 PERTAINING TO HOURS OF CONSTRUCTION
DURING THE 51h AVENUE SOUTH RECONSTRUCTION
PROJECT (L2/P18-02)
Findings of the City Council:
That the 5th Avenue South Reconstruction Project (L1/P19-01) is scheduled to be completed
on or before September 27, 2019.
In order to have the project completed in a timely manner and to hopefully eliminate delays
and additional expenses, as well as for the public good, governmental entities and their contractors
and subcontractors may need to work longer hours than permitted in Hutchinson City Code
§92.018(V)(2)(c) which permits construction activities only between the hours of 7:00 a.m. and
10:00 p.m. on any weekday or between the hours of 9:00 a.m. and 9:00 p.m. on any weekend or
holiday.
Therefore, the Council of the City of Hutchinson does hereby ordain that Hutchinson City
Code §92.018 or any other City ordinance pertaining to noise shall not be enforced on the 5 th
Avenue South project (L1/P19-01) from now through September 27, 2019, and that specifically
construction activities will be allowed between the hours of 7:00 a.m. and 9:00 p.m. on Saturdays
until the date noted above.
Adopted by the City Council this 28th day of May 2019.
Attest:
Matthew Jaunich, City Administrator Gary T. Forcier, Mayor
HUTCHINSON CITY COUNCIL ci=qf�
Request for Board Action 7AL =-ft
Agenda Item: Calling a Special Workshop Meeting - Joint Meeting with HRA Board
Department: Administration
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete N/A
Contact: Matt Jaunich
Agenda Item Type:
Presenter: Matt Jaunich
Reviewed by Staff
New Business
Time Requested (Minutes): 1
License Contingency
Attachments: No
BACKGROUND/EXPLANATION OFAGENDA ITEM:
The HRA Board has asked for a special workshop meeting with the City Council to have an update on the past years
activities of the HRA. The HRA Board will also give an update on some of the projects they are currently working on.
This is basically a workshop to discuss the 2018 year-end work of the HRA.
BOARD ACTION REQUESTED:
Approval of calling a special workshop meeting for 4:00 p.m. on June 11
Fiscal Impact: $ 0.00 Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
HUTCHINSON CITY COUNCIL CityafA
Request for Board Action
Agenda Item:
g Set Council Workshop to review the 2018 Audit Report (CAFR)
Department: Finance
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff
New Business
Time Requested (Minutes): 1
License Contingency
Attachments: No
BACKGROUND/EXPLANATION OFAGENDA ITEM:
I would like to call for a council workshop on July 9th at 4:30 to review the 2018 audited financial report. Layne
Kockelman, who is the audit manager with our audit firm Abdo, Eick & Meyers, will be here to lead the workshop and
also will give a short presentation at the council meeting that night. If that date does not work, then July 23rd at 4:30
would be the second option. Thank you.
BOARD ACTION REQUESTED:
Set a workshop to review the 2018 Audit Report.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
HUTCHINSON CITY COUNCIL
CityafA
Request for Board Action
Agenda Item:
g April 2019 Financial and Investment Reports
Department: Finance
LICENSE SECTION
Meeting Date: 5/28/2019
Application Complete
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff
Governance
Time Requested (Minutes): 0
License Contingency
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
For Council review, attached are the April Financial Reports for the general fund and enterprise funds. Also attached
is the April Investment Report.
Feel free to contact me with any questions. Thank you.
BOARD ACTION REQUESTED:
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
2019
2018
2019 ACTUALS
2019
AVAILABLE
% BDGT
2018 YTD
2018
% BDGT
APRIL
YTD
BUDGET
BALANCE
USED
ACTUAL
BUDGET
USED
General Fund
Taxes
-
-
5,122,005
5,122,005
-
-
4,925,466
-
Other Taxes
54,785
66,400
315,000
248,600
21.1
65,954
305,000
21.6
Licenses & Permits
51,829
125,904
414,200
288,296
30.4
180,713
343,050
52.7
Intergovernmental Revenue
3,724
27,703
1,578,056
1,550,353
1.8
48,256
1,555,161
3.1
Charges for Services
234,892
752,608
2,830,857
2,078,249
26.6
840,961
2,840,534
29.6
Miscellaneous Revenues
18,255
75,264
317,500
242,236
23.7
82,919
319,500
26.0
Transfers -In
418,779
418,779
2,497,175
2,078,396
16.8
610,337
2,515,092
24.3
Fines & Forfeitures
8,996
22,383
50,000
27,617
44.8
17,267
55,000
31.4
Capital Contributions
-
-
-
-
-
-
-
-
TOTAL REVENUES
791,260
1,489,041
13,124,793
11,635,752
11.3
1,846,408
12,858,803
14.4
Wages & Benefits
653,929
2,518,950
8,866,013
6,347,063
28.4
2,506,234
8,657,896
28.9
Supplies
104,223
242,446
870,578
628,132
27.8
217,032
868,840
25.0
Services & Charges
215,613
733,445
2,655,282
1,921,837
27.6
713,675
2,659,777
26.8
Miscellaneous Expenses
46,647
109,818
620,950
511,132
17.7
115,333
562,290
20.5
Transfers -Out
-
50,985
101,970
50,985
50.0
451,288
501,288
90.0
Capital Outlay
650
650
10,000
9,350
6.5
-
10,000
-
TOTAL EXPENDITURES
1,021,061
3,656,294
13,124,793
9,468,499
27.9
4,003,561
13,260,091
30.2
NET REVENUE
(229,801)
(2,167,253)
-
2,167,253
(2,157,154)
(401,288)
Comments
Revenues:
Transfers -In
The difference from 2019 compared to 2018 is due to the Hospital lease payment, which was paid off in a lump sum settlement in
2018.
Expenditures:
Transfers -Out
The 2018 activity included the $401,288
transfer of fund balance to the new Tree Disease Mitigation fund. Rather than accounting
for those efforts out
of general fund reserves, it is more appropriately accounted for within a separate fund.
Snow Removal Impact
Through April, fuel
expense is up $4,500
from 2018 and Contracted Snow Removal
is up $31,680.
The 2019 Contracted Snow
Removal is $20K over
budget. Other
expenses, such
as employee overtime and repairs to snow equipment are at about
the same
level as in 2018.
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
2019 ACTUALS
APRIL
General Fund Expense by Department
YTD
2019 2018
2019 AVAILABLE % BDGT 2018 YTD 2018 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
Mayor & City Council
2,830
13,297
55,328
42,031
24.0
12,835
49,922
25.7
City Administrator
41,335
133,711
415,643
281,932
32.2
124,203
411,990
30.1
Elections
-
-
6,000
6,000
-
-
23,100
-
Finance Department
50,263
119,886
371,041
251,155
32.3
123,435
359,527
34.3
Motor Vehicle
20,980
82,518
268,721
186,203
30.7
75,115
264,832
28.4
Assessing
-
-
61,152
61,152
-
-
61,131
-
Legal
25,426
89,113
306,847
217,734
29.0
94,126
313,858
30.0
Planning
11,965
46,065
155,835
109,770
29.6
42,587
149,212
28.5
Information Services
38,463
135,223
568,872
433,649
23.8
174,392
560,588
31.1
City Hall Building
14,470
48,201
174,705
126,504
27.6
48,198
167,556
28.8
Police Department
274,871
1,055,784
3,453,954
2,398,170
30.6
1,054,459
3,331,215
31.7
Hospital Security
22,746
89,596
323,205
233,609
27.7
91,025
311,394
29.2
Emergency Management
184
1,955
12,280
10,325
15.9
6,452
22,180
29.1
Safety Committee
-
9,270
10,850
1,580
85.4
8,960
10,800
83.0
Fire Department
47,083
118,816
357,602
238,786
33.2
96,320
332,858
28.9
Protective Inspections
26,114
104,338
348,856
244,518
29.9
67,621
365,062
18.5
Engineering
35,942
141,501
470,704
329,203
30.1
134,657
457,087
29.5
Streets & Alleys
134,503
429,956
1,539,705
1,109,749
27.9
401,335
1,582,983
25.4
Park/Recreation Administration
17,716
74,635
265,144
190,509
28.1
84,070
260,339
32.3
Recreation
28,163
67,146
249,316
182,170
26.9
66,837
247,593
27.0
Senior Citizen Center
10,587
28,382
86,622
58,240
32.8
25,686
86,779
29.6
Civic Arena
28,061
132,042
355,362
223,320
37.2
148,882
338,878
43.9
Park Department
67,470
237,153
926,369
689,216
25.6
237,648
904,484
26.3
Recreation Building
21,636
79,363
237,367
158,004
33.4
73,892
225,236
32.8
Events Center
24,377
90,151
263,142
172,991
34.3
87,233
253,808
34.4
Evergreen Building
2,739
8,277
27,250
18,973
30.4
8,588
26,650
32.2
Library
4,537
58,666
223,460
164,794
26.3
59,544
216,091
27.6
Waterpark
2,521
5,929
388,840
382,911
1.5
7,162
398,741
1.8
Cemetery
10,163
37,941
143,159
105,218
26.5
31,171
141,517
22.0
Airport
24,506
47,836
120,670
72,834
39.6
30,400
113,640
26.8
Unallocated General Expense
31,410
169,540
936,792
767,252
18.1
586,730
1,271,040
46.2
TOTAL EXPENDITURES
1,021,061
3,656,294
13,124,793
9,468,499
27.9
4,003,561
13,260,091
30.2
Liquor Fund
Sales
Miscellaneous Revenues
TOTAL REVENUES
Cost of Sales
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Transfers -Out
Capital Outlay
Depreciation Expense
Debt Service
TOTAL EXPENDITURES
NET REVENUE
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
2019 ACTUALS
APRIL
YTD
2019 2018
2019 AVAILABLE % BDGT 2018 YTD 2018 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
474,047
1,767,480
6,357,000
4,589,520
27.8
1,741,997
6,245,000
27.9
80
788
3,000
2,212
26.3
589
4,000
14.7
474,128
1,768,268
6,360,000
4,591,732
27.8
1,742,586
6,249,000
27.9
334,138
1,328,999
4,890,710
3,561,711
27.2
1,320,128
4,771,290
27.7
51,552
199,697
698,094
498,397
28.6
197,752
671,021
29.5
1,534
7,980
25,050
17,070
31.9
4,782
27,750
17.2
11,069
41,355
143,675
102,320
28.8
35,093
145,800
24.1
-
166
5,350
5,184
3.1
-
5,850
-
-
-
500,000
500,000
-
-
500,000
-
4,497
4,497
15,000
10,503
30.0
31,777
25,000
127.1
-
-
82,500
82,500
-
-
85,000
-
-
-
128,243
128,243
-
-
128,045
-
402,790
1,582,694
6,488,622
4,905,928
24.4
1,589,531
6,359,756
25.0
71,338
185,574
(128,622)
(314,196)
153,055
(110,756)
Year to Date Sales
April Sales
Comments
2019
2018
Change
2019
2018
Change
Liquor Sales Revenue: Liquor
635,223
613,273
3.6%
163,046
151,152
7.9%
Beer
816,257
805,465
1.3%
227,010
211,501
7.3%
Wine
281,873
290,232
-2.9%
75,158
70,098
7.2%
Other
34,127
33,027
3.3%
8,834
8,573
3.0%
Total Sales
1,767,480
1,741,997
1.5%
474,047
441,323
7.4%
Customer Count
71,913
72,733
-1.1%
19,174
18,387
4.3%
Average Sale per Customer $
24.58
$ 23.95
2.6%
$ 24.72
$ 24.00
3.0%
Gross Margin on Sales
24.8%
24.2%
29.5%
26.3%
Labor to Sales Ratio
11.3%
11.4%
10.9%
11.3%
Net Profit Margin
10.7%
10.6%
10.6%
8.0%
Year-to-date sales are up 1.5% while customer count is down 1.1 %. Monthly sales for April are up 7.4% and customer
count is up
4.3%. A contributing
factor to the large April increase may be the Easter holiday.
Easter fell on April
1 in 2018, resulting
in Easter
sales falling in the month of March.
A later 2019 Easter
pushed those holiday sales
into April rather
than March.
Water Fund
Sales
Sales - Other
Local Sales Tax
Charges for Services
Miscellaneous Revenues
Ifell FAN NaTia,n1*�
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Transfers -Out
Capital Outlay
Depreciation Expense
Debt Service
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
2019 ACTUALS
APRIL
YTD
2019 2018
2019 AVAILABLE % BDGT 2018 YTD 2018 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
133,150
517,766
1,780,000
1,262,234
29.1
509,020
1,880,000
27.1
48,945
175,588
543,500
367,912
32.3
215,587
516,750
41.7
48,362
166,659
665,000
498,341
25.1
155,908
640,000
24.4
2,185
38,097
53,000
14,903
71.9
36,915
55,000
67.1
7,508
19,282
69,500
50,218
27.7
8,875
104,500
8.5
240,150
917,391
3,111,000
2,193,609
29.5
926,305
3,196,250
29.0
39,358
155,558
519,888
364,330
29.9
147,634
478,638
30.8
6,480
56,013
137,250
81,237
40.8
31,948
132,300
24.1
43,957
123,903
522,950
399,047
23.7
103,562
535,960
19.3
35
333
15,000
14,667
2.2
7,633
14,700
51.9
-
-
60,000
60,000
-
-
60,000
-
300,000
300,000
350,000
-
1,100,000
1,100,000
-
-
1,100,000
-
202,482
1,485,523
1,283,041
13.6
200,680
1,485,627
13.5
TOTAL EXPENDITURES 89,830 538,289 4,140,611 3,602,322 13.0 491,457 4,157,225 11.8
NET of REVENUES & EXPENDITURES 150,321 379,102 (1,029,611) (1,408,713) 434,848 (960,975)
Year to Date Water Sales
Comments
2019
2018
Change
Water Sales Revenue: Residential
333,980
336,615
-0.8%
Commercial
98,093
97,179
0.9%
Industrial
85,692
75,226
13.9%
Water Sales
517,766
509,020
1.7%
Base Charge
142,091
141,123
0.7%
WAC Charge
8,750
48,272
-81.9%
Other
24,748
26,192
-5.5%
Other Sales
175,588
215,587
-18.6%
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
Sewer Fund
Sales
Sales - Other
Local Sales Tax
Intergovernmental Revenue
Licenses & Permits
Charges for Services
Miscellaneous Revenues
Ifell FAN NaTia,n1*�
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Transfers -Out
Capital Outlay
Depreciation Expense
Debt Service
TOTAL EXPENDITURES
NET of REVENUES & EXPENDITURES
2019 ACTUALS
APRIL
YTD
2019 2018
2019 AVAILABLE % BDGT 2018 YTD 2018 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
245,220
967,075
2,700,000
1,732,925
35.8
851,599
2,920,000
29.2
38,899
139,755
468,000
328,245
29.9
190,954
410,000
46.6
48,362
166,659
665,000
498,341
25.1
155,908
640,000
24.4
-
6,500
6,500
-
100.0
5,100
6,500
78.5
1,575
2,150
7,500
5,350
28.7
2,510
3,500
71.7
12,410
33,108
120,000
86,892
27.6
12,008
140,000
8.6
346,466
1,315,247
3,967,000
2,651,753
33.2
1,218,079
4,120,000
29.6
53,517
209,501
691,874
482,373
30.3
195,143
678,838
28.7
16,415
58,713
210,700
151,987
27.9
59,241
219,700
27.0
100,550
268,169
803,000
534,831
33.4
215,889
800,830
27.0
14,573
19,964
36,500
16,536
54.7
23,079
32,500
71.0
-
-
60,000
60,000
-
-
60,000
-
30,998
625,000
594,002
5.0
181,556
650,000
27.9
-
1,250,000
1,250,000
-
-
1,450,000
-
-
406,082
1,403,676
997,594
28.9
450,137
1,458,251
30.9
185,055
993,427
5,080,750
4,087,323
19.6
1,125,045
5,350,119
21.0
161,411
321,820
(1,113,750)
(1,435,570)
93,034
(1,230,119)
Year to Date Sewer Sales
Comments
2019
2018
Change
Sewer Sales Revenue: Residential
527,181
501,279
5.2%
Commercial
152,788
141,911
7.7%
Industrial - Flow
179,784
148,631
21.0%
Industrial - Violation Surcharges
107,322
59,778
79.5%
Sewer Sales
967,075
851,599
13.6%
Base Charge
123,390
122,494
0.7%
SAC Charge
11,500
63,434
-81.9%
Other
4,865
5,026
-3.2%
Other Sales
139,755
190,954
-26.8%
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
2019
2018
2019 ACTUALS
2019
AVAILABLE
% BDGT
2018 YTD
2018
% BDGT
APRIL
YTD
BUDGET
BALANCE
USED
ACTUAL
BUDGET
USED
Refuse Fund
Sales
97,467
389,970
1,160,000
770,030
33.6
381,959
1,154,000
33.1
Sales - Other
3,899
15,480
45,600
30,120
33.9
15,024
43,550
34.5
Intergovernmental Revenue
2,592
2,592
12,500
9,908
20.7
-
12,500
-
Miscellaneous Revenues
2,692
6,631
22,000
15,369
30.1
2,843
12,500
22.7
TOTAL REVENUES
106,650
414,672
1,240,100
825,428
33.4
399,825
1,222,550
32.7
Wages & Benefits
13,571
47,814
190,965
143,151
25.0
48,554
187,401
25.9
Supplies
2,798
15,381
62,050
46,669
24.8
16,873
58,400
28.9
Services & Charges
74,978
210,956
761,600
550,644
27.7
185,178
736,190
25.2
Miscellaneous Expenses
-
40
1,500
1,460
2.7
564
6,500
8.7
Transfers -Out
-
-
55,000
55,000
-
-
55,000
-
CapitalOutlay
36,452
61,141
221,500
160,359
27.6
85,000
Depreciation Expense
-
-
146,000
146,000
-
-
144,000
-
TOTAL EXPENDITURES
127,800
335,333
1,438,615
1,103,282
23.3
251,169
1,272,491
19.7
NET of REVENUES & EXPENDITURES
(21,149)
79,339
(198,515)
(277,854)
148,656
(49,941)
Comaost Fund
Sales
Charges for Services
Miscellaneous Revenues
TOTAL REVENUES
Cost of Sales
Inventory Cost Adjustment
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Transfers -Out
Capital Outlay
Depreciation Expense
Debt Service
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
2019 ACTUALS
APRIL
YTD
2019 2018
2019 AVAILABLE % BDGT 2018 YTD 2018 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
525,715
1,028,132
2,378,175
1,350,043
43.2
1,056,428
2,003,975 52.7
84
13,684
91,245
77,561
15.0
282
82,500 0.3
13,350
46,456
35,000
(11,456)
132.7
2,570
26,400 9.7
539,148
1,088,271
2,504,420
1,416,149
43.5
1,059,280
2,112,875 50.1
387,212
681,391
1,633,505
952,114
41.7
653,997
1,316,600
49.7
(87,603)
(198,803)
(709,585)
(510,782)
28.0
(151,864)
(494,200)
30.7
57,889
200,133
704,078
503,945
28.4
179,306
610,345
29.4
13,328
32,526
114,825
82,299
28.3
23,017
65,300
35.2
28,010
84,232
308,940
224,708
27.3
45,484
243,440
18.7
266
2,313
11,500
9,187
20.1
1,558
11,500
13.5
-
-
110,000
110,000
-
-
110,000
-
80,000
80,000
139,227
-
-
220,000
220,000
-
207,000
73,808
70,947
158,939
87,992
44.6
(3,763)
87,833
(4.3)
TOTAL EXPENDITURES 472,910 872,740 2,632,202 1,759,462 33.2 747,736 2,297,045 32.6
NET of REVENUES & EXPENDITURES 66,239 215,531 (127,782) (343,313) 311,544 (184,170)
Year to Date Sales
Comments
2019
2018
Change
Compost Sales Bagged
890,962
939,286
-5.1 %
Bulk
34,526
14,200
143.1 %
Other (Freight)
102,644
102,943
-0.3%
Total Sales
1,028,132
1,056,428
-2.7%
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
2019 ACTUALS
APRIL
YTD
2019 2018
2019 AVAILABLE % BDGT 2018 YTD 2018 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
Storm Water Utility
Sales
78,643
312,150
937,000
624,850
33.3
302,826
904,600
33.5
Sales - Other
328
1,268
3,500
2,232
36.2
1,067
3,000
35.6
Licenses & Permits
700
1,135
4,500
3,365
25.2
470
4,000
11.8
Charges for Services
-
-
-
-
-
-
-
-
Miscellaneous Revenues
4,252
5,787
22,300
16,513
25.9
3,487
13,750
25.4
Capital Contributions
-
-
-
-
-
-
-
-
TOTAL REVENUES
83,923
320,340
967,300
646,960
33.1
307,850
925,350
33.3
Wages & Benefits
17,942
71,748
248,348
176,600
28.9
56,421
276,489
20.4
Supplies
8,366
16,428
32,000
15,572
51.3
531
38,800
1.4
Services & Charges
(3,526)
17,224
173,300
156,076
9.9
6,287
165,600
3.8
Miscellaneous Expenses
12,756
13,689
10,500
(3,189)
130.4
7,315
11,250
65.0
Transfers -Out
-
-
-
-
-
-
125,000
-
CapitalOutlay
174,529
174,529
340,000
165,472
51.3
200,000
Depreciation Expense
-
-
195,000
195,000
-
-
157,000
-
Debt Service
-
146,404
231,777
85,373
93.5
150,508
154,750
70.2
TOTAL EXPENDITURES
210,067
440,022
1,230,925
790,903
35.7
221,062
1,128,889
19.6
NET of REVENUES & EXPENDITURES
(126,144)
(119,682)
(263,625)
(143,943)
86,788
(203,539)
Comments
Capital Outlay The April capital expenditure is the cost of the new street sweeper, less that trade-in value on the old sweeper.
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING APRIL 30, 2019
2019
2018
2019 ACTUALS
2019
AVAILABLE
% BDGT
2018 YTD
2018
% BDGT
APRIL
YTD
BUDGET
BALANCE
USED
ACTUAL
BUDGET
USED
HATS Operation
Intergovernmental Revenue
7,553
75,533
181,280
105,747
41.7
73,333
176,000
41.7
Charges for Services
26,155
120,545
280,000
159,455
43.1
102,737
267,500
38.4
Miscellaneous Revenues
4,343
9,568
6,000
(3,568)
159.5
479
3,500
13.7
Transfers -In
-
50,985
101,970
50,985
50.0
50,000
100,000
50.0
TOTAL REVENUES
38,052
256,632
569,250
312,618
45.1
226,550
547,000
41.4
Wages & Benefits
2,788
11,098
42,644
31,546
26.0
9,435
38,151
24.7
Supplies
8,035
156,374
297,050
140,676
52.6
109,272
273,650
39.9
Services & Charges
12,268
47,196
161,200
114,004
29.3
37,180
157,160
23.7
Miscellaneous Expenses
-
10
5,600
5,590
0.2
-
5,600
-
CapitalOutlay
-
-
62,756
62,756
-
13,511
76,612
17.6
TOTAL EXPENDITURES
23,090
214,678
569,250
354,572
37.7
169,397
551,173
30.7
NET of REVENUES & EXPENDITURES
14,962
41,953
-
(41,953)
57,153
(4,173)
Comments
Charges for Services The main activity in this category is the sale of fuel to City departments, the State, County and Hutchinson Utilities.
Supplies The main activity in this category is the cost of fuel for the fueling system. Fuel expenses exceed revenues due to refueling the
system at the end of March, thereby incurring the expense in March with the revenue for usage to occur in April.
Oppenheimer & Co. Inc.
PPEN IME Broad Street HOUSEHOLD
New York, NY 10004
(212) 668-8000 SUMMARY
(2
Transacts Business on All Principal Exchanges SIK
For the Period Ending: 04/30/19 Financial Advisor
SULLIVAN/SULLIVAN - X2J
Internet Address: www.opco.com 50 SOUTH SIXTH STREET
SUITE 1300
MINNEAPOLIS, MN 55402
(800)258-3387
CITY OF HUTCHINSON MN HOSPITAL
III HASSAN ST SE
HUTCHINSON MN 55350-2522
I
Cash, Money Funds
Priced
Total Asset
I
Direct
Adjusted
Previous Month
Statement
Account
& Bank Deposits
Securities .
Value
Investments (1)
Asset Value 121 '
Adj Asset Value
Enclosed 13
D25-5020051 CITY OF HUTCHINSONMN HOSPITAL
$0.02
$3,059,747.77
$3,059,747.79
$0.00
$3,059,747.79
$5,532,508.93
Yes
111 HASSAN ST SE
J25-5019707 CITY OF HUTCHINSONMUJNESOTA
7,476.17
31,188,845.52
31,196,321.69
0.00
31,196,321.69
28,637,957.36
Yes
111 HASSAN ST SE
Totals
$7,476.19
$34,248,593.29
$34,256,069.48
$0.00
$34,256,069.48
$34,170,466.29
(1) Values for Direct Investments, which are not included in the Total Asset Value for your account, are provided for informational purposes only. Note that prices for Direct Investments are furnished periodically by
the entities issuing and/or managing such investments. Due to timing of such pricing, values for Direct Investment reflect the most recent prices available, which may not be month -end values.
(2) "Adjusted Asset Value" is the sum of" Total Asset Value" and "Direct Investments".
(3) "No" in the Statement Enclosed column indicates that a statement was not generated for the specified account due to lack of activity during the period. However, as a courtesy, current values for the account
are displayed for informational purposes.
This Household Summary, which displays separate and combined assets for all linked accounts, is provided as a courtesy. The Household Summary is not, and should not be construed as, a substitute foryour Oppenheimer &
Co. Inc. account statements.
Oppenheimer & Co. Inc.
(")PPENHEIME (2126 Broad Street
New York NY 10004
Transacts Business on All Principal Exchanges
Asset Allocation
Government Agency Bonds- 7.97%
Municipal Bonds - 12.44 k
Mutual Funds - 41.93 k
Certificates of Deposit - 37.66 k a
Portfolio Summary
-
_
This
Previous
Estimated
Period
Period
Annual Income
04/30/19
03/31/19
Mutual Funds
$13,078,157.96
$11,036,132.01
$305,139.58
GovemmentAgency, Bonds
2,488,590.00
2,488,570.00
51,000.00
Municipal Bonds
3,881,286.70
3,882,730.50
90,668.40
Certificates of Deposit
11,740,810.86
11,226,868.64
284,506.00
Cash Account Balance
7,476.17
3,656.21
Total Asset Value
$31,196,321.69
$28,637,957.36
$731,313.98
Net Value of Accrued Interest $90,529.05 $79,877.29
Total Asset Value does not include Direct Investments, Accrued Interest or unpriced securities.
Cash Activity Summary -119
Opening Cash Balance $3,656.21
Net Buy and Sell Transactions-2,510,136.49
Net Miscellaneous Credits/Debits 2,464,300.54
Net Income Activity 49,655.91
Closinq Cash Balance $7,476.17
STATEMENT OF
ACCOUNT
Account Number: D25-5019707 Tax ID Number: ON FILE
For the Period: 04/01/19 - 04/30/19 Last Statement: 03/31/19
Page 1 of 12
CITY OF HUTCHINSON MINNESOTA
III HASSAN ST SE
HUTCHINSON MN 55350-2522
Financial Advisor
SULLIVAN/SULLIVAN
X2J
(800)258-3387
Internet Address: www.opco.com
Income Summary
Office Serving Your Account
50 SOUTH SIXTH STREET
SUITE 1300
MINNEAPOLIS, MN 55402
Reportable
This Period
Year to Date
Corporate Accrued Int Received
$0.00
$21.48
Corporate Interest
15,671.25
70,403.31
Municipal Interest
7,095.20
43,457.70
Government Interest
5,000.00
29,250.00
Dividends
21,889.46
88,331.76
Total Reportable
$49,655.91
$231,464.25
Non -Reportable
Municipal Accrued Int Paid
$0.00
$-1,401.40
Total Non -Reportable
$0.00
$-1,401.40
Oppenheimer & Co. Inc.
Broad
PPEN IME 85wYorsNY STATEMENT OF
New York, NY 10004
(z1sACCOUNT 9
I- . Transacts
actctBs Businsin ess on All Principal Exchanges
Assets maturing during the next 60 days appear at the end of this statement.
Asset Allocation
Municipal Bonds - 27.78
Mutual Funds - 72.22 k
Portfolio Summary
This
Previous
Estimated
Period
Period
Annual Income
04/30/19
03/31/19
Advantage Bank Deposits`
$0.02
$0.00
$0.00
Mutual Funds
2,209,866.27
4,272,763.43
51,560.59
Municipal Bonds
849,881.50
1,259,745.50
22,748.00
Total Asset Value
$3,059,747.79
$5,532,508.93
$74,308.59
Net Value of Accrued Interest $8,876.14 $11,458.27
Total Asset Value does not include Direct Investments, Accrued Interest or unpriced securities.
Eligible for FDIC insurance up to standard maximum insurance amounts, Not SIPC insured.
Cash Activity Summary
Ooenina Cash Balance $0.00
Net Buy and Sell Transactions
2,071,598.00
Net Miscellaneous Credits/Debits
-2,084,890.84
Net Income Activity
13,292.86
Net Advantage Bank Deposit Activity
-0.02
Closing Cash Balance
$0.00
Account Number: D25-5020051 Tax ID Number: ON FILE
For the Period: 04/01/19 - 04/30/19 Last Statement: 03/31/19
Page 1 of 6
CITY OF HUTCHINSON MN HOSPITAL
III HASSAN ST SE
HUTCHINSON MN 55350-2522
Financial Advisor
SULLIVAN/SULLIVAN
X2J
(800)258-3387
Internet Address: www.opco.com
Income Summary
Office Serving Your Account
50 SOUTH SIXTH STREET
SUITE 1300
MINNEAPOLIS, MN 55402
Reportable
This Period
Year to Date
Advantage Bank Dep Interest
$0.02
$0.05
Municipal Interest
4,592.00
6,542.60
Government Interest
0.00
3,750.00
Dividends
8,700.84
30,754.18
Total Reportable
$13,292.86
$41,046.83
Non -Reportable
Municipal Accrued Int Paid
$0.00
$-1,401.40
Total Non -Reportable
$0.00
$-1,401.40
PPENHEIMFP,
TOTAL POSITIONS
PORTFOLIO OVERVIEW
CITY OF HUTCHINSON
report as of 511119
POSITIONS INCLUDED IN PORTFOLIO ANALYSIS
Original Face Value
$18,161,000.00
Current Face Value
$18,161,000.00
Estimated Portfolio Totals
Estimated Portfolio Averages
Est Annual Income
$426,174.40
Original Face Value
$18,161,000.00
Coupon
2.35%
Valid Positions
60
Current Face Value
$18,161,000.00
Maturity
2.77 yrs
Exceptions
0
Market Value
$18,110,687.56
Effective Maturity
2.15 yrs
Total Positions
60
Accrued Interest
$70,199.22
Modified Duration
2.04
Includes all positions with recognized CUSIP and valid quantity provided
Total Market Value
$18,180,886.78
Yield to Maturity
2.69%
Please see exception report for positions not included in reports.
Yield to Worst
2.52%
POSITIONS W/ MARKET PRICE
Positions
60 of 60
Market Price
99.72
Priced Orig. Face Value
$18,161,000.00
Rating
Priced Current Face Value
$18,161,000.00
a
a
a
Priced Positions
60 of 60
Priced Market Principal
$18,110,687.56
Average Coupon
2.35%
Average Price
99.72
Includes all positions with recognized CUSIP, quantity and market price on report date
Original Face: the original dollarvalue at issuance
Current Face: the dollarvalue afterthe current factor is applied
Includes all positions with recognized CUSIP, quantity, market price and derived calculations on report date.
Coupon and Market Price weighted by Current Face Value, all others weighted by Market Value.
Please see the last page of this report for detail.
Page 2 of 44
PPENHEIMEI, PORTFOLIO SUMMARY - CURRENT FACE VALUE WEIGHTED - ALL SECURITY TYPES
CITY OF HUTCHINSON
report as of 511119
PORTFOLIO SUMMARY
Portfolio Totals Fed Exempt
Fed Taxable
Current Face Value -
$18,161,000
Positions -
60
Accrued Interest -
$70,199
Est Annual Income -
$426,174
* Portfolio Average
Avg Coupon Rate -
2.347%
Avg Maturity -
2.8yrs
* Current Face Value -weighted.
For Avo Maturity calculations, Deroetual securities assume 40
HOLDINGS BY SECURITY TYPE
Total
Positions Face (000)
%Face
$18,161,000
Agency
4 $2,500.0
13.8%
60 of 60
Asset Backed
- -
-
$70,199
CD
48 $11,751.0
64.7%
$426,174
CEF
- -
-
CMO
Corp
-
-
2.347%
Muni
8 $3,910.0
21.5%
2.8yrs
Pass Thru
- -
-
Preferred
Treas
-
-
Total
60 $18,161.0
100.0
Current Face Value -weighted
PORTFOLIO RATING SUMMARY
RATING DISTRIBUTION
**Ratina Positions Face (000) % Face
AAA
zi
AAA 7 $3,850.0 21.2%
AA 4 $2,000.0 11.0%
m
> AA
yy
A 1 $560.0 3.1 %
u
m
BAA - - _
A
3
0
Below BAA - - -
v BAA
O1
NR 48 $11,751.0 64.7%
m
c Below
Total 60 $18,161.0 100.0%
u BAA
v
a
NR
0 10 20 30 40 s0 60 70
** Best of Short/Long term equivalent Moody's or Standard & Poor's Rating. Current Face Value -weighted.
Best of Short/Long term equivalent Moody's or Standard & Poor's Rating. Current Face Value -weighted.
Please see the last page of this report for detail.
Page 4 of 44
PPFh'H!" !AFR, PORTFOLIO SUMMARY - CURRENT FACE VALUE WEIGHTED - ALL SECURITY TYPES
CITY OF HUTCHINSON
report as of 511119
MATURITY SCHEDULE
Year
Face(000)
% Year Face(000)
2019
$2,067.0
11.4% 2033 -
2020
$3,265.0
18.0% 2034 - -
2021
$3,205.0
17.6% 2035 - -
2022
$4,709.0
25.9% 2036 - -
2023
$2,450.0
13.5% 2037 - -
2024
$2,225.0
12.3% 2038 - -
2025
$240.0
1.3% 2039 - -
2026
-
- 2040 - -
2027
-
- 2041 - -
2028
-
- 2042 - -
2029
-
- 2043+ - -
2030
-
- Perpetual - -
2031
2032
28
24
20
U 16
Q
u. 12
0
8
4
0
MATURITY EXPOSURE 1
alp 1p01�10tl O,t90,tb0,00,t60,V10,t60,t90ap00 , 1v0090nb049040,!10�60�90a00p10pb
Q2
Current Face Value -weighted.
ESTIMATED COUPON CASH FLOW SUMMARY
Jan
Feb Mar
Am
May Jun Jul
Aug
Agency
$15,500
$5,000 -
$5,000
- - $15,500
$5,000
CD
$16,775
$22,571 $29,642
$15,343
$34,422 $23,499 $16,775
$22,571
Muni:Non AMT
-
- -
-
- - -
-
Muni:Subj AMT
-
- -
-
- - -
-
Muni:Taxable
$3,234
$13,363 -
$7,095
$21,643 - $3,234
$13,363
Seal Oct Nov Dec
Total
- $5,000 - -
$51,000
$29,642 $15,343 $34,422 $23,499
$284,506
- $7,095 $21,643 -
$90,668
Total $35,509 $40,933 $29,642 $27,438 $56,065 $23,499 $35,509 $40,933 $29,642 $27,438 $56,065 $23,499 $426,174
Reflects extended cash flow estimates assuming portfolio composition as of report date. Please refer to Definitions for more complete explanation.
Please see the last page of this report for detail.
Page 5 of 44
PPENHEIMEI, PORTFOLIO SUMMARY - MARKET VALUE WEIGHTED - ALL SECURITY TYPES
CITY OF HUTCHINSON
report as of 511119
I PORTFOLIO SUMMARY 1
Portfolio Totals Fed Exempt
Fed Taxable
Total
Priced Current Face
$18,161,000
$18,161,000
Positions -
60
60 of 60
Market Value
$18,110,688
$18,110,688
Accrued Interest -
$70,199
$70,199
Total Market Value -
$18,180,887
$18,180,887
Est Annual Income -
$426,174
$426,174
Portfolio Averages
** Coupon Rate -
2.347%
2.347%
Maturity -
2.8yrs
2.8yrs
Effective Maturity
2.2yrs
2.2yrs
Modified Duration
2.0
2.0
Yield To Maturity -
2.69%
2.69%
Yield To Worst -
2.52%
2.52%
** Market Price -
88.723
99.723
** Par Value wtd, other avgs Mkt Value wtd. Ind only positions
with mkt value & calcs on report date.
For perpetual securities avg calcs, Final Maturity assume 40 yrs,
Yield to Maturity uses strip yield.
PORTFOLIO RATING SUMMARY
❑ AAA
21.1%
❑ AA
11.0%
❑ A
3.1%
❑ BAA
0.0%
❑ Below BAA
0.0%
❑ NR
64.8%
Total:
100.0%
R
Includes only positions with market value & calculations on report date. Market Value -weighted.
POSITIONS BY SECURITY TYPE
F_CD
Agency 13.7%
Asset Backed 0.0%
CD 64.8%
CEF 0.0%
CMO 0.0%
Corp 0.0%
Muni 21.4%
Pass Thru 0.0%
■ Preferred 0.0%
Treas 0.0%
Total: 100.0%
Agency
Muni
Includes only positions with market price & calculations on report date. Market Value -weighted.
100
90
80
70
~y 60
F s0
0 40
30
20
10
0
SECURITY FEATURES
Ga�`9,o ocG 0+0`0 Ca+9,o Q9�0 iQO,`o
Includes only positions with market price & calculations on report date. Market Value -weighted.
Please see the last page of this report for detail.
Page 6 of 44
PPEINHFIMEI1 PORTFOLIO SUMMARY - MARKET VALUE WEIGHTED - ALL SECURITY TYPES
CITY OF HUTCHINSON
report as of 511119
MATURITY EXPOSURE
28
24
20
Y 16
12
0
8 IM,
4
0
,yArP,yy,yyrpj,,0rjy,0,yg,yA,!O,�y,�•y,�•�f�!,p,P,�Af�b Aa0ayay,�XJa.
,y0 ,p ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,l0v01,
0t
Q
Includes only positions with market price & calculations on report date. Market Value -weighted.
DURATION EXPOSURE
3s
30
2s
Y 20
i
e is
10
s
0
oN01'10110`'odo�060°',�°,y'r,�tiy3,�°`,y`',yd,y�,�6,y°'ti°�,'rtiti�3;v°`ry`'ryd���6�°'0"
Includes only positions with market price & calculations on report date. Market Value -weighted.
PORTFOLIO EXPOSURE
MaturitV
Effective Maturity Duration to Worst
Average: 2.77yrs
Average: 2.15yrs Average:
2.04
Year $ Mkt % Mkt
$ Mkt % Mkt
Year $ Mkt % Mkt
2019
$2,076,500 11.4%
$4,300,347 23.7% 00-01
$6,089,568
33.5%
2020
$3,247,949 17.9%
$3,734,945 20.5% 01-02
$2,938,063
16.2%
2021
$3,206,487 17.6%
$3,961,309 21.8% 02-03
$4,689,064
25.8%
2022
$4,692,029 25.8%
$2,699,303 14.8% 03-04
$1,975,884
10.9%
2023
$2,483,524 13.7%
$1,743,739 9.6% 04-05
$1,997,205
11.0%
2024
$2,234,496 12.3%
$1,741,244 9.6% 05-06
$491,102
2.7%
2025-
2026
-
- - 07-08
-
2027
-
- - 08-09
-
2028
-
- - 09-10
-
2029
-
- - 10-11
-
2030
-
- - 11-12
-
2031
-
- - 12-13
-
2032
-
- - 13-14
-
2033
-
- - 14-15
-
2034
-
- - 15-16
-
2035
-
- - 16-17
-
2036
-
- - 17-18
-
2037
-
- - 18-19
-
2038
-
- - 19-20
-
2039
-
- - 20-21
-
2040
-
- - 21-22
-
2041
-
- - 22-23
-
2042
-
- - 23-24
-
2043+
-
- - 24-25
-
Perpet
-'
' - - 25-26
-
26-27
27-28
28-29
30+
Avg life used
in Effective Maturity for principal
pay -downs.
Includes only
positions with market price
& calculations on report date. Market Value -weighted.
For Avg Maturity calculations, perpetual securities assume 40 yrs.
Please see the last page of this report for detail.
Page 7 of 44
PPENHEIMFR
PORTFOLIO CASH FLOW
CITY OF HUTCHINSON
report as or of 111 a
ESTIMATED ANNUAL COUPON CASH FLOW SUMMARY
Jan
Feb
Mar
ADr
May
Jun Jul
Aug
Seal
Oct
Nov
Dec
Total
%Tot
Agency
$15,500
$5,000
-
$5,000
-
- $15,500
$5,000
-
$5,000
-
-
$51,000
12.0%
CD
$16,775
$22,571
$29,642
$15,343
$34,422
$23,499 $16,775
$22,571
$29,642
$15,343
$34,422
$23,499
$284,506
66.8%
Muni:Non AMT
-
-
-
-
-
- -
-
-
-
-
-
-
Muni:Subj AMT
-
-
-
-
-
- -
-
-
-
-
-
-
Muni:Taxable
$3,234
$13,363
-
$7,095
$21,643
- $3,234
$13,363
-
$7,095
$21,643
-
$90,668
21.3%
Total
$35,509
$40,933
$29,642
$27,438
$56,065
$23,499 $35,509
$40,933
$29,642
$27,438
$56,065
$23,499
$426,174
Fed Taxable
$35,509
$40,933
$29,642
$27,438
$56,065
$23,499 $35,509
$40,933
$29,642
$27,438
$56,065
$23,499
$426,174
100.0%
Fed TaxExempt
-
-
-
-
-
- -
-
-
-
-
-
-
Subj to AMT
-
-
-
-
-
- -
-
-
-
-
-
-
$60,000
$50,000
$40,000
$30,000
$20,000
$10,000
-
---
0-11-
-
-
T
- All.
$O
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
E-Su:bj AMT 1-1 Fed TaxExempt ❑ Fed Taxable
Please see the last page of this report for detail.
Page 37 of 44
(_jPPENHEIMFR
PORTFOLIO POSITION DETAIL
CITY OF HUTCHINSON
report as of 511119
Page 1 of 3
A Type
St
Qty
Cp.
Maturity
dy S&P % Mkt Duration
Acq Cost
Acq Yid
$ Acq Cost
Mkt Price
Accrued Int
Security Description
C CUSIP
Insurer Convexity
Acq Date
Mkt Yid
$ Adj Cost
Mkt $ Value
Unreal Gn/Ls
METROPOLITAN TRANSN AUTH N Y SPL O
Muni -Taxable
NY
350
1.848
07/01/19
Aaa
1.93%
0.16
$99.81
2.503
$349,346
99.90
$2,192
Make Whole Call Only - Make Whole Call Exp
59261 EAE9
0.00
03/19/19
2.462
$349,346
$349,647
$301
RIVERSIDE CALIF CMNTY COLLEGEDIST
Muni -Taxable
CA
500
2.345
08/01/19
Aa2
AA 2.76%
0.24
$101.50
1.657
$507,485
99.94
$2,996
TAXABLE -Material Events
76886PFA6
0.00
05/09/17
2.593
$500,825
$499,680
($1,145)
AMERICAN EXPRESS FSB
CD
247
2.150
11/13/19
NR
NR 1.36%
0.52
$100.00
2.150
$247,000
99.87
$2,488
Conditional Puts - Death of holder - Restrict
02587CCR9
0.01
05/09/17
2.392
$247,000
$246,684
($316)
CIT BK SALT LAKE CITY UTAH
CD
240
2.100
11/13/19
NR
NR 1.32%
0.52
$100.00
2.100
$240,000
99.85
$2,361
Conditional Puts - Death of holder - Restrict
17284C3N2
0.01
05/09/17
2.392
$240,000
$239,630
($370)
BMW BANK OF NORTH AMERICA - UT
CD
245
1.550
12/16/19
NR
NR 1.35%
0.61
$100.00
1.550
$245,000
99.47
$1,457
Conditional Puts - Death of holder - Restrict
05580AFT6
0.01
05/09/17
2.417
$245,000
$243,692
($1,308)
TBK BK SSB DALLAS TEX
CD
245
1.600
12/16/19
NR
NR 1.35%
0.61
$100.00
1.596
$245,000
99.50
$537
Callable 06/19@100 - Conditional Puts - Dea
87219RBC7
0.01
05/09/17
2.416
$244,992
$243,768
($1,224)
BARCLAYS BANK DELAWARE
CD
240
2.050
12/17/19
NR
NR 1.32%
0.61
$100.00
2.049
$240,000
99.80
$1,847
Conditional Puts - Death of holder
06740KJC2
0.01
05/09/17
2.369
$240,006
$239,522
($483)
SALLIE MAE BK SLT LAKE CITY UT
CD
245
1.750
03/09/20
NR
NR 1.34%
0.84
$100.00
1.749
$245,000
99.41
$658
Conditional Puts - Death of holder - Restrict
795450ZT5
0.01
05/09/17
2.446
$244,983
$243,564
($1,418)
CONNECTICUT ST GO BDS
Muni -Taxable
CT
560
2.534
04/15/20
Al
A 3.09%
0.93
$100.92
2.140
$565,124
99.89
$710
TAXABLE -Material Events
20772JEK4
0.01
11/21/17
2.649
$562,055
$559,395
($2,660)
MASSACH USETTS ST GO BDS
Muni -Taxable
MA
500
2.090
05/01/20
Aa1
AA 2.75%
0.98
$100.00
2.090
$499,995
99.57
$58
TAXABLE -Material Events
57582P2T6
0.01
05/09/17
2.533
$499,995
$497,840
($2,155)
MB FINL BK NA CHIC. IL
CD
245
1.300
05/11/20
NR
NR 1.34%
1.01
$100.00
1.300
$245,000
99.09
$192
Conditional Puts - Death of holder - Restrict
55266CRK4
0.01
05/09/17
2.196
$245,000
$242,778
($2,222)
CENTENNIAL BK CONWAY ARK
CD
245
1.300
05/20/20
NR
NR 1.34%
1.04
$100.00
1.300
$245,000
99.02
$113
Conditional Puts - Death of holder
15135KBA8
0.01
05/09/17
2.247
$245,000
$242,597
($2,403)
THIRD FED SVGS & LN ASSN OF
CD
245
1.900
09/15/20
NR
NR 1.34%
1.34
$100.00
1.900
$245,000
99.25
$625
Conditional Puts - Death of holder - Restrict
88413QBQO
0.03
09/15/17
2.461
$245,000
$243,150
($1,850)
CAPITAL ONE, NATIONAL ASSOCIATION
CD
245
1.400
09/21/20
NR
NR 1.33%
1.36
$100.00
1.400
$245,000
98.36
$404
Conditional Puts - Death of holder
14042RCA7
0.03
05/09/17
2.606
$245,000
$240,989
($4,011)
WEBBANK
CD
245
2.000
09/28/20
NR
NR 1.34%
1.38
$100.00
2.000
$245,000
99.37
$67
Callable 05/19@100 - Conditional Puts - Dea
947547JR7
0.02
09/28/17
2.458
$245,000
$243,447
($1,553)
WEX BK MIDVALE UTAH
CD
245
2.000
10/19/20
NR
NR 1.34%
1.43
$100.00
2.000
$245,000
99.34
$201
Conditional Puts - Death of holder - Restrict
92937CGB8
0.03
10/18/17
2.463
$245,000
$243,376
($1,624)
FIRST BUSINESS BK MADISON WIS
CD
245
1.400
11/13/20
NR
NR 1.33%
1.49
$100.00
1.400
$245,000
98.41
$1,607
Conditional Puts - Death of holder
31938QR89
0.03
05/09/17
2.462
$245,000
$241,105
($3,896)
CAPITAL ONE BK USA NATL ASSN
CD
245
2.050
12/29/20
NR
NR 1.34%
1.61
$100.00
2.049
$245,000
99.33
$1,720
Conditional Puts - Death of holder
14042OS43
0.03
05/09/17
2.464
$245,008
$243,354
($1,655)
MORGAN STANLEY BANK NA
CD
245
2.500
02/01/21
NR
NR 1.35%
1.69
$100.00
2.500
$245,000
100.06
$1,527
Conditional Puts - Death of holder
61747MJ36
0.04
02/01/18
2.464
$245,000
$245,142
$142
CITIBANK NATIONAL ASSOCIATION
CD
245
2.700
03/29/21
NR
NR 1.36%
1.85
$100.00
2.700
$245,000
100.43
$634
Conditional Puts - Death of holder - Restrict
17312QH77
0.04
03/29/18
2.466
$245,000
$246,056
$1,056
COMMUNITY BK PASADENA CALIF
CD
245
1.550
06/15/21
NR
NR 1.33%
2.08
$100.00
1.550
$245,000
98.16
$187
Conditional Puts - Death of holder - Restrict
203507BA5
0.05
05/09/17
2.440
$245,000
$240,497
($4,503)
EAST BOSTON SVGS BK MA
CD
245
1.500
06/23/21
NR
NR 1.32%
2.08
$100.00
1.500
$245,000
97.94
$1,319
Conditional Puts - Death of holder
27113PBEO
0.05
05/09/17
2.494
$245,000
$239 943
$5 057
Please see the last page of this report for detail.
Page 39 of 44
CITY OF HUTCHINSON POSITION DETAIL as of 0510112019 Page 2 of 3
Security Description
A Type St
C CUSIP
Qty
Cpn
Maturity
Mdy S&P % Mkt
Insurer
Duration
Convexity
Acq Cost
Acq Date
Acq Yid
Mkt Yid
$ Acq Cost
$ Adj Cost
Mkt Price
Mkt $ Value
Accrued Int
Unreal Gn/Ls
FEDERAL HOME LN MTG CORP CALL 2%
Agency
500
2.000
07/26/21
Aaa
AA- 2.74%
2.16
$100.00
2.000
$500,000
99.19
$2,667
Callable 07/19@100
3134GBYJ5
0.06
07/26/17
2.374
$500,000
$495,950
($4,050)
ALLY BK MIDVALE UTAH
CD
245
2.950
08/02/21
NR
NR 1.37%
2.15
$100.00
2.950
$245,000
100.97
$1,782
Conditional Puts - Death of holder
02007GEC3
0.06
08/02/18
2.505
$245,000
$247,364
$2,364
FIRST FINANCIAL NORTHWES
CD
245
2.950
08/16/21
NR
NR 1.35%
0.04
$100.00
2.950
$245,000
100.03
$337
Callable 05/19@100 - Conditional Puts - Dea
32022MBC1
0.00
08/16/18
2.160
$245,000
$245,069
$69
TOWNEBANK PORTSMOUTH VA
CD
245
3.000
09/27/21
NR
NR 1.37%
2.30
$100.00
3.000
$245,000
101.09
$765
Conditional Puts - Death of holder - Restrict
89214PCA5
0.07
09/26/18
2.527
$245,000
$247,680
$2,680
FEDERAL HOME LOAN MORTGAGE CORP
Agency
500
2.000
10/28/21
Aaa
AA+ 2.76%
0.48
$100.00
1.000
$500,000
99.92
$111
Callable 07/19@100 - Multi -Step Coupon
3134GASK1
0.01
05/09/17
2.159
$500,000
$499,615
($385)
FOCUS BK CHARLESTON MO
CD
245
2.100
11/24/21
NR
NR 1.34%
2.45
$100.00
2.100
$245,000
98.88
$2,255
Conditional Puts - Death of holder
34415LAN1
0.07
11/24/17
2.553
$245,000
$242,261
($2,739)
MIZRAHI TEFAHOT BANK, LTD
CD
245
2.000
11/30/21
NR
NR 1.35%
0.57
$100.00
1.247
$245,000
99.78
$859
Callable 05/19@100 - Multi -Step Coupon - Co
606857Q78
0.01
05/09/17
2.380
$245,000
$244,466
($534)
STATE BK INDIA NEW YORK N Y
CD
247
2.350
01/26/22
NR
NR 1.36%
2.61
$100.00
2.349
$247,000
99.40
$1,543
Conditional Puts - Death of holder - Restrict
8562845Z3
0.08
05/09/17
2.577
$247,026
$245,516
($1,511)
GOLDMAN SACHS BK USA NY
CD
247
2.300
03/08/22
NR
NR 1.35%
2.73
$100.00
2.299
$247,000
99.19
$872
Conditional Puts - Death of holder
38148PGX9
0.09
05/09/17
2.595
$246,980
$245,004
($1,976)
SYNCHRONY BANK
CD
245
2.400
04/07/22
NR
NR 1.34%
2.81
$100.00
2.400
$245,000
99.42
$419
Conditional Puts - Death of holder - Restrict
87164XPZ3
0.09
05/09/17
2.606
$245,000
$243,577
($1,423)
MARYSVILLE MICH PUB SCHS DIST GO U
Muni -Taxable MI
500
2.317
05/01/22
Aa1
2.74%
2.87
$98.85
2.565
$494,230
99.36
$64
TAXABLE -Material Events
574446GV6
0.10
05/09/17
2.540
$494,230
$496,805
$2,575
NEW YORK N Y CITY TRANSITIONAL FIN A
Muni -Taxable NY
500
1.650
05/01/22
Aa1
AAA 2.68%
2.90
$99.43
1.771
$497,125
97.25
$46
Make Whole Call Only - Make Whole Call Exp
64971 WJ35
0.10
05/09/17
2.611
$497,125
$486,250
($10,875)
JP MORGAN CHASE BANK NA
CD
245
1.500
05/31/22
NR
NR 1.34%
2.02
$100.00
1.243
$245,000
99.27
$1,551
Callable 05/19@100 - Multi -Step Coupon - Co
48125Y21_7
0.05
05/09/17
2.097
$245,000
$243,216
($1,784)
CFBANK FAIRLAWN OHIO
CD
245
3.250
07/19/22
NR
NR 1.38%
3.04
$100.00
3.250
$245,000
101.86
$305
Conditional Puts - Death of holder - Restrict
15721 UCT4
0.10
12/19/18
2.646
$245,000
$249,557
$4,557
FEDERAL HOME LN MTG CORP CALL STE
Agency
1,000
2.100
07/27/22
Aaa
AA+ 5.50%
2.16
$100.00
2.100
$1,000,000
99.60
$5,542
Callable 07/19@100 - Multi -Step Coupon
3134GBYN6
0.06
07/27/17
2.351
$1,000,000
$995,990
($4,010)
AMERICAN EXPRESS CENTURIAN BK CTF
CD
245
2.350
08/08/22
NR
NR 1.33%
3.10
$100.00
2.350
$245,000
98.50
$1,325
Conditional Puts - Death of holder - Restrict
02587DV47
0.11
08/08/17
2.833
$245,000
$241,323
($3,677)
FEDERAL HOME LOAN MORTGAGE CORP
Agency
500
2.000
08/22/22
Aaa
2.74%
1.76
$100.00
2.000
$500,000
99.41
$1,944
Callable 05/19@100 - Multi -Step Coupon
3134GBB27
0.04
08/22/17
2.405
$500,000
$497,035
($2,965)
ALLEGIANCE BK TEX HOUSTON
CD
245
2.200
11/03/22
NR
NR 1.33%
3.37
$100.00
2.200
$245,000
98.36
$0
Conditional Puts - Death of holder - Restrict
01748DAY2
0.12
11/03/17
2.689
$245,000
$240,992
($4,008)
DISCOVER BK
CD
245
2.450
11/18/22
NR
NR 1.34%
3.33
$100.00
2.450
$245,000
99.17
$2,730
Conditional Puts - Death of holder
254672WU8
0.13
05/09/17
2.695
$245,000
$242,976
($2,024)
WELLS FARGO BK N A SD
CD
245
2.250
11/23/22
NR
NR 1.35%
0.05
$100.00
1.650
$245,000
100.01
$2,432
Callable 05/19@100 - Multi -Step Coupon - Co
94986TWE3
0.00
05/09/17
2.101
$245,000
$245,017
$17
BMO HARRIS BK NATL ASSN CHICAG
CD
245
3.000
02/15/23
NR
NR 1.36%
0.28
$100.00
3.000
$245,000
100.18
$1,551
Callable 08/19@100- Conditional Puts -Dea
05581WL45
0.00
02/15/19
2.359
$245,000
$245,443
$443
MEDALLION BK UTAH
CD
245
2.850
03/06/23
NR
NR 1.36%
3.63
$100.00
2.850
$245,000
100.41
$536
Conditional Puts - Death of holder - Restrict
58404DDMO
0.14
03/05/19
2.738
$245,000
$246,000
$1,000
CATHAY BK LOS ANGEL CALIF
CD
245
3.150
06/08/23
NR
NR 1.37%
3.78
$100.00
3.150
$245,000
101.47
$3, 087
Conditional Puts - Death of holder - Restrict
149159MQ5
0.17
06/08/18
2.767
$245,000
248 611
$3 611
Please see the last page of this report for detail.
Page 40 of 44
CITY OF HUTCHINSON POSITION DETAIL as of 0510112019 Page 3 of 3
Security Description
A Type St
C CUSIP
Qty
Cpn
Maturity
Mdy S&P % Mkt
Insurer
Duration
Convexity
Acq Cost
Acq Date
Acq Yid
Mkt Yid
$ Acq Cost
$ Adj Cost
Mkt Price
Mkt $ Value
Accrued Int
Unreal Gn/Ls
STATE BANK OF LISMORE LISMORE MN
CD
245
3.100
06/27/23
NR
NR 1.37%
3.89
$100.00
3.100
$245,000
101.29
$125
Conditional Puts - Death of holder
856425AR4
0.16
06/27/18
2.771
$245,000
$248,161
$3,161
INDUSTRIAL & COML BK CHINA USA
CD
245
3.300
06/30/23
NR
NR 1.38%
3.88
$100.00
3.300
$245,000
102.08
$66
Conditional Puts - Death of holder - Restrict
45581 EAX9
0.16
08/30/18
2.771
$245,000
$250,091
$5,091
MIDWEST INDPT BK MO
CD
245
3.150
09/18/23
NR
NR 1.37%
4.08
$100.00
3.150
$245,000
101.50
$338
Conditional Puts - Death of holder
59833LAF9
0.18
09/17/18
2.787
$245,000
$248,665
$3,665
MORGAN STANLEY PVT BK PURCHASE
CD
245
3.550
11/08/23
NR
NR 1.39%
4.09
$100.00
3.550
$245,000
102.88
$4,194
Conditional Puts - Death of holder
61760ARSO
0.20
11/08/18
2.867
$245,000
$252,051
$7,051
CELTIC BK SALT LAKE CITY UTAH
CD
245
3.500
11/30/23
NR
NR 1.35%
0.07
$100.00
3.500
$245,000
100.10
$70
Callable 05/19@100 - Conditional Puts - Dea
15118RQF7
0.00
11/30/18
2.159
$245,000
$245,243
$243
MERRICK BK SOUTH JORDAN UTAH
CD
245
3.600
12/07/23
NR
NR 1.36%
0.59
$100.00
3.600
$245,000
100.76
$628
Callable 12/19@100 - Conditional Puts - Dea
59013J5R6
0.00
12/07/18
2.326
$245,000
$246,850
$1,850
LIVE OAK BANKING COMPANY WILMINGT
CD
245
2.500
12/13/23
NR
NR 1.34%
4.35
$100.00
2.500
$245,000
98.69
$34
Conditional Puts - Death of holder
538036CZ5
0.20
12/13/17
2.804
$245,000
$241,781
($3,219)
BANK HAPOALIM B M NEW YORK
CD
245
3.200
01/23/24
NR
NR 1.38%
4.33
$100.00
3.200
$245,000
101.71
$2,148
Conditional Puts - Death of holder - Restrict
06251AV80
0.22
01/23/19
2.811
$245,000
$249,185
$4,185
FIRST NATIONAL BANK/DAMA
CD
245
3.250
02/14/24
NR
NR 1.36%
0.77
$100.00
3.250
$245,000
100.69
$414
Callable 02/20@100 - Conditional Puts - Dea
32117BCS5
0.01
02/14/19
2.368
$245,000
$246,681
$1,681
COMENITY CAP BK UTAH
CD
245
3.100
02/15/24
NR
NR 1.37%
4.44
$100.00
3.100
$245,000
101.27
$375
Conditional Puts - Death of holder - Restrict
20033AP91
0.21
02/15/19
2.816
$245,000
$248,116
$3,116
UBS BK USA SALT LAKE CITY UT
CD
245
2.900
04/03/24
NR
NR 1.36%
4.58
$100.00
2.900
$245,000
100.35
$0
Conditional Puts - Death of holder
90348JJQ4
0.22
04/03/19
2.825
$245,000
$245,845
$845
SILVERGATE BK LA JOLLA CALIF
CD
245
2.950
04/08/24
NR
NR 1.36%
0.43
$100.00
2.950
$245,000
100.27
$495
Callable 10/19@100 - Conditional Puts - Dea
828373FL9
0.00
04/08/19
2.322
$245,000
$245,662
$662
COMMERCE CALIF CMNTY DEV COMMN S
Muni -Taxable CA
500
3.000
08/01/24
AA 2.76%
4.79
$105.32
2.200
$526,595
100.13
$3,833
DID - TAXABLE - Material Events -AGMC, in
20056UAV6
AGMC
0.26
05/09/17
2.973
$519,700
$500,640
($19,060)
NEW YORK N Y CITY TRANSITIONAL FIN A
Muni -Taxable NY
500
2.600
11/01/24
Aa1
AAA 2.71%
5.08
$97.35
2.998
$486,750
98.21
$72
Callable 11/22@100 -TAXABLE -Material Ev
64971QJ38
0.29
05/09/17
2.956
$486,750
$491,030
$4,280
HSBC BANK USA, NATIONAL ASSOCIATIO
CD
240
2.250
03/11/25
NR
NR 1.32%
0.84
$100.00
2.249
$240,000
99.63
$784
Callable 03/20@100 - Multi -Step Coupon - Co
40434ASB6
0.01
05/09/17
2.683
$240,000
$239,117
($883)
Please see the last page of this report for detail.
Page 41 of 44
PPENHEIMFP,
TOTAL POSITIONS
Original Face Value
Current Face Value
Est Annual Incoq e
Valid Positions
Ermeptions
Total Positions
Includes all positions °ldtwrecognihed Cz UIP and valid Suantity provided
Please see emeption report for positions not included in reports2
PORTFOLIO OVERVIEW
CITY OF HUTCHINSON HOSPITAL
report as of 511119
POSITIONS INCLUDED IN PORTFOLIO ANALYSIS
$6.,Q„2,
Estimated Portfolio Totals
$44(8562 ,
POSITIONS W/ MARKET PRICE
Original Face Value
4 Current Face Value
Market Value
4 Accrued Interest
I Total Market Value
Priced Orig2Face Value $6. , Q , , 2,
Priced Current Face Value $6. , Q , , 2,
Priced Positions 4 of 4
Priced Market Principal $657GB612 ,
Average Coupon 42963
Average Price 77217
Includes all positions %twrecognihed Cz UIPOSuantity and q arket price on report date2
Original Facebty original dollar value at issuance
Current Facebt- dollar value after hie current factor is applied
Positions
Estimated Portfolio Averages
$6. , Q , , 2,
Coupon
42963
$6. , Q , , 2,
Maturity
, 211 yrs
$657C6612 ,
Effective Maturity
, 211 yrs
$7Q 9. 20
Modified Duration
, 211
$6. 6CF58L41
Yield to Maturity
42. 3
Yield to Worst
42. 3
4 of 4
Market Price
77217
ating
a
a
Includes all positions %twrecognihed Cz UIPOSuantity0q arket price and derived calculations on report date2
Coupon and Market Price °keigvded xy Current Face ValueOall ot— °keigU<ted xy Market Value2
Please see Ne last page of tvAs report for detai12
Page 4 of 41
PPENHEIMEI, PORTFOLIO SUMMARY - CURRENT FACE VALUE WEIGHTED - ALL SECURITY TYPES
CITY OF HUTCHINSON HOSPITAL
report as of 511119
PORTFOLIO SUMMARY
HOLDINGS BY SECURITY TYPE
Portfolio Totals
Fed Exempt Fed Taxable
Total
Positions Face (000) %Face
Current Face Value
- $850,000
$850,000
Agency
- - -
Positions
- 2
2 of 2
Asset Backed
- - -
Accrued Interest
- $9,066
$9,066
CD
- - -
Est Annual Income
- $22,748
$22,748
CEF
- - -
CMO
* Portfolio Average
Corp
- - -
Avg Coupon Rate
- 2.676%
2.676%
Muni
2 $850.0 100.0%
Avg Maturity
- 0.1yrs
0.1yrs
Pass Thru
- - -
Preferred
Treas
- - -
Total
2 $850.0 100.0
* Current Face Value -weighted.
For Avo Maturity calculations, Deroetual
securities assume 40 vrs
* Current Face Value -weighted
PORTFOLIO RATING SUMMARY
RATING DISTRIBUTION
**Ratina
Positions Face (000)
% Face
AAA
ai
AAA
1 $350.0
41.2%
59
AA 1 $500.0 58.8%
m
> AA
A
BAA
u A
Below BAA - - -
v BAA
O
NR
m
c Below
Total
2 $850.0
100.0%
u BAA
v
a
NR
0
10 20 30 40 s0 60
** Best of Short/Long term equivalent Moody's or Standard & Poor's Rating. Current Face Value -weighted.
Best of Short/Long term equivalent
Moody's or Standard & Poor's Rating. Current Face Value -weighted.
Please see twe last page of twis report for detail2
Page 5 of 41
PPFh'H!" !AFR, PORTFOLIO SUMMARY - CURRENT FACE VALUE WEIGHTED - ALL SECURITY TYPES
CITY OF HUTCHINSON HOSPITAL
report as of 511119
MATURITY SCHEDULE
Year Face(000) % Year Face(000)
2019 $850.0 100.0% 2033 -
2020 - - 2034 - -
2021 - - 2035 - -
2022 - - 2036 - -
2023 - - 2037 - -
2024 - - 2038 - -
2025 - - 2039 - -
2026 - - 2040 - -
2027 - - 2041 - -
2028 - - 2042 - -
2029 - - 2043+ - -
2030 - - Perpetual - -
2031
2032
MATURITY EXPOSURE
100
80
W 60
Q
LL
e 401
20
0
o1p 1p01�10tl O,t90tb0,�90,t60,V10,t, 11t ,�00�10,�'60,�90,�b0,�904, !A, 0�60�90b00p10pb �x Jp�
'b 'b 'b 'b 'b 'b 'b 'b 'b 'b 'b 'b 'b 'b
Q2
Current Face Value-weightetl.
ESTIMATED COUPON CASH FLOW SUMMARY
Jan Feb Mar ADr Max Jun Jul Aug Sep Oct Nov Dec Total
Muni:Non AMT - - - - - - - - - - - - -
Muni:Subj AMT - - - - - - - - - - - - -
Muni:Taxable $3,234 - - - - $8,140 $3,234 - - - - $8,140 $22,748
Total $3,234
Reflects extended cash flow estimates assum
$8,140 $3,234
as of report date. Please refer to Definitions for more complete explanation.
Please see twe last page of twis report for detail2
Page. of 41
- $8,140 $22,748
PPENHEIMEI, PORTFOLIO SUMMARY - MARKET VALUE WEIGHTED - ALL SECURITY TYPES
CITY OF HUTCHINSON HOSPITAL
report as of 511119
I PORTFOLIO SUMMARY 1
Portfolio Totals Fed Exempt
Fed Taxable
Total
Priced Current Face -
$850,000
$850,000
Positions -
2
2 of 2
Market Value -
$849,882
$849,882
Accrued Interest -
$9,066
$9,066
Total Market Value -
$858,947
$858,947
Est Annual Income -
$22,748
$22,748
Portfolio Averages
** Coupon Rate -
2.676%
2.676%
Maturity -
0.1yrs
0.1yrs
Effective Maturity
0.1yrs
0.1yrs
Modified Duration
0.1
0.1
Yield To Maturity -
2.55%
2.55%
Yield To Worst -
2.55%
2.55%
** Market Price -
99.986
99.986
** Par Value wtd, other avgs Mkt Value wtd. Ind only positions
with mkt value & calcs on report date.
For perpetual securities avg calcs, Final Maturity assume 40 yrs,
Yield to Maturity uses strip yield.
PORTFOLIO RATING SUMMARY
❑ AAA
41.1%
❑ AA
s8.9%
❑ A
0.0%
❑ BAA
0.0%
❑ Below BAA
0.0%
❑ NR
0.0%
Total:
100.0%
Includes only positions with market value & calculations on report date. Market Value -weighted.
POSITIONS BY SECURITY TYPE
Agency 0.0%
Asset Backed
0.0%
CD
0.0%
CEF
0.0%
CMO
0.0%
Corp
0.0%
Muni
100.0%
Pass Thru
0.0%
■ Preferred
0.0%
Treas
0.0%
Total:
100.0%
Includes only positions with market price & calculations on report date. Market Value -weighted.
100
90
80
70
~y 60
F s0
0 40
30
20
10
0
SECURITY FEATURES
Ga�`9,o ocG 0+0`0 Ca+9,o Q9�0 iQO,`o
Includes only positions with market price & calculations on report date. Market Value -weighted.
Please see twe last page of twis report for detail2
Page 9 of 41
PPEINHFIMEI1 PORTFOLIO SUMMARY - MARKET VALUE WEIGHTED - ALL SECURITY TYPES
CITY OF HUTCHINSON HOSPITAL
report as of 511119
MATURITY EXPOSURE
100
80
F 60
Y
i
e 40
20
0
�`� ti° ti�tititi3 ti°` by ti6 ti� ti$ ti° 3° 3�3ti33 3°` 3y 363� 3$ 3° a° a'� ati3X oa•
,yo ,p ,p ,p ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,y0 ,l0v00,
0t
Q
Includes only positions with market price & calculations on report date. Market Value -weighted.
DURATION EXPOSURE
100
80
Y 60
i
40
20
0
oN01'10110`'odo�060°',�°,y'r,�tiy3,�°`,y`',yd,y�,�6,y°'ti°�,'rtiti�3;v°`ry`'ryd���6�°'0"
Includes only positions with market price & calculations on report date. Market Value -weighted.
PORTFOLIO EXPOSURE
MaturitV
Effective Maturity Duration to Worst
Average: 0.11yrs
Average: 0.11yrs Average: 0.11
Year $ Mkt % Mkt
$ Mkt % Mkt
Year $ Mkt % Mkt
2019 $858,947 100.0%
$858,947 100.0% 00-01 $858,947 100.0%
2020 -
- - 01-02 -
2021 -
- - 02-03 -
2022 -
- - 03-04 -
2023 -
- - 04-05 -
2024 -
- - 05-06 -
2025 -
- - 06-07 -
2026 -
- - 07-08 -
2027 -
- - 08-09 -
2028 -
- - 09-10 -
2029 -
- - 10-11 -
2030 -
- - 11-12 -
2031 -
- - 12-13 -
2032 -
- - 13-14 -
2033 -
- - 14-15 -
2034 -
- - 15-16 -
2035 -
- - 16-17 -
2036 -
- - 17-18 -
2037 -
- - 18-19 -
2038 -
- - 19-20 -
2039 -
- - 20-21 -
2040 -
- - 21-22 -
2041 -
- - 22-23 -
2042 -
- - 23-24 -
2043+ -
- - 24-25 -
Perpet -'
' - - 25-26 -
26-27
27-28
28-29
30+
Avg life used in Effective Maturity for principal
pay -downs.
Includes only positions with market price
& calculations on report date. Market Value -weighted.
For Avg Maturity calculations, perpetual securities assume 40 yrs.
Please see twe last page of twis report for detail2
Page 8 of 41
PPENHEIMER PORTFOLIO CASH FLOW
CITY OF HUTCHINSON HOSPITAL
report as of 511119
ESTIMATED ANNUAL COUPON CASH FLOW SUMMARY
Jan
Feb Mar Agr Max Jun Jul Aug Sea)
Oct Nov Dec
Total %Tot
Muni:Non AMT
-
- - - - - - - -
- - -
-
Muni:Subj AMT
-
- - - - - - - -
- - -
-
Muni:Taxable
$3,234
- - - - $8,140 $3,234 - -
- - $8,140
$22,748 100.0%
Total
$3,234
- - - - $8,140 $3,234 - -
- - $8,140
$22,748
Fed Taxable
$3,234
- - - - $8,140 $3,234 - -
- - $8,140
$22,748 100.0%
Fed TaxExempt
-
- - - - - - - -
- - -
-
Subj to AMT
-
- - - - - - - -
- - -
-
$10,000
$8,000
$6,000
$4,000
$2,000
$0
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
SSubj AMT 8 Fed TaxExempt ■ Fed Taxable
Please see Ne last page of twis report for detail2
Page 19 of 41
(-jPPENHEIMFR
PORTFOLIO POSITION DETAIL
CITY OF HUTCHINSON HOSPITAL
report as of 511119
Page 1 of 1
Security Description
A Type St
C CUSIP
Qty Cpn Maturity dy S&P % Mkt
Insurer
Duration
Convexity
Acq Cost
Acq Date
Acq Yid
Mkt Yid
$ Acq Cost
$ Adj Cost
Mkt Price
Mkt $ Value
Accrued Int
Unreal Gn/Ls
GRAND STRAND WTR & SWR AUTH SC W
Muni -Taxable SC
500 3.256 06/01/19 Aa2 AA- 58.86%
0.08
$100.32
2.651
$501,580
100.05
$6,874
TAXABLE -Material Events
386475ER4
0.00
11/20/18
2.615
$500,220
$500,235
$15
METROPOLITAN TRANSN AUTH N Y SPL O
Muni -Taxable NY
350 1.848 07/01/19 Aaa 41.14%
0.16
$99.81
2.503
$349,346
99.90
$2,192
Make Whole Call Only - Make Whole Call Exp
59261 EAE9
0.00
03/19/19
2.462
$349,346
$349,647
$301
Please see tAe last page of twis report for detail2
Page 16 of 41
HRA
HUTCHINSON HOUSING AND
REDEVELOPMENT AUTHORITY
Regular Board Meeting Tuesday, April 16, 2019, 7:00 AM
Minutes
CALL TO ORDER: Chair Renee Lynn Johnson Kotlarz called the meeting to order.
Members Present: Gary Forcier, Steve Jensen and Nikki Willemssen. Staff Present: Jean
Ward and Judy Flemming.
2. CONSIDERATION OF MINUTES OF THE REGULAR BOARD MEETING ON MARCH
19, 2019
Steve Jensen moved to approve the Minutes of the regular board meeting as written. Nikki
Willemssen seconded and the motion carried unanimously.
3. FINANCIAL REPORTS
a. Steve Jensen moved to approve City Center General Fund payments of $223,127.31 for
checks 9022 to 9028. Gary Forcier seconded with Nikki Willemssen abstaining. The
motion carried unanimous.
b. Steve Jensen moved to approve City Center March 31, 2019 financial reports. Nikki
Willemssen seconded and the motion carried unanimously.
c. Nikki Willemssen moved to approve Park Towers Operating Account payments of
$42,188.13 for checks 14598 to 14630. Steve Jensen seconded and the motion carried
unanimous.
d. Steve Jensen moved to approve the February 28, 2019 Park Towers financial statements.
Nikki Willemssen seconded and the motion carried unanimously.
4. PRESENTATION OF 2018 FINANCIAL AUDIT-7:30 A.M. , Erin Enstad, Addo, Eich &
Meyers
Erin Enstad reviewed the Board the 2018 Financial Audit. The Board talked about other
ideas for the City Center project funds: New construction rental using TIF & HRA loan to get
affordable rents and looking into the School Construction Program again.
5. PARK TOWERS UPDATE
a. Occupancy Report: Full now.
b. Park Towers' April Newsletter — Jean Ward talked about the new A/C covers.
c. RAD update
• Steve Jensen moved to approve sending out the RAD Consultant RFP with a due date
of May 10'. Nikki Willemssen seconded and the motion carried unanimously.
Available Board members and Jean will review the returned RFP's.
6. CONSIDERATION OF REVISED HRA PROCUREMENT POLICY
Nikki Willemssen moved to approve the revised HRA Procurement Policy. Steve Jensen
seconded and the motion carried unanimously.
April 16, 2019 Minutes Page 1 of 2
7. CONSIDERATION OF REVISED CITY ACCESSIBILITY GRANT PROGRAM
Nikki Willemssen moved to approve the revisions to the City Accessibility Grant Program.
Gary Forcier seconded and the motion carried unanimously.
8. CONSIDERATION OF APPROVAL OF LIVE AND WORK GRANT APPLICATION
• Nikki Willemssen moved to approve the Live and Work Grant program project funds
contingent to the loan review committee's approval for the Newcomb application. Steve
Jensen seconded and the motion carried unanimously.
• Steve Jensen moved to approve the Live and Work Grant program project funds
contingent to the loan review committee's approval for the Pirnie application. Nikki
Willemssen seconded and the motion carried unanimously.
9. COMMUNICATIONS
a. Foreclosure Report — FYI
b. Site Plan for Prince Of Peace Apartments — Jean Ward reviewed the plan with the Board.
c. HRA First-time Homebuyer Program Article — FYI
10. ADJOURNMENT
Nikki Willemssen moved to adjourn and Steve Jensen seconded. There being no other
business, Chair Renee Lynn Johnson Kotlarz declared the meeting adjourned.
Recorded by Jean Ward, HRA Executive Director
Gary Forcier, Secretary/Treasurer
April 16, 2019 Minutes Page 2 of 2
Library Board Meeting
March 25, 2019
Gerry Grinde, Mary Christensen, Julie Lofdahl, Kristine Leuze, Carolyn Ulrich. Katy Hiltner,
Ex-Officio. Excused: Steve Bailey, Jack Sandberg.
Minutes of February 25, 2019 meeting reviewed and accepted with the following corrections:
Attendance: Gerry Grinde listed twice, correct spelling of Kristine Leuze.
Old Business:
• New board members as of April approved by Mayor: Kay Hultgren, Jared Golde.
Margaret Hoffman will be the third member as soon as Jack Sandberg's
resignation is in effect. Katy will send them a welcome packet. Positions will be
chosen in April (President, Vice President, and Secretary.) In addition, two
positions are open on the Pioneerland Library Board (Hutchinson city rep and
McLeod County rep).
• Program Reports.
Button Bowls - 11 in attendance.
Master Gardener program Flowers for pollinators -15 people
Stitches with Carolyn Ulrich - 7 tweens, two mothers, two librarians
Food for Fines — not much interest this year
• Adult winter reading program all wrapped up.
272 signed up
160 completed
64 new participants
484 bonus books read
Everyone who completed the program and turned in their reading log received a
State Theatre ticket for Friday, April 12, 2019.
New Business:
1. National Library Week April 7-13. Friends have provided funding for a child, teen,
and adult raffle prize.
2. Friends book sale Saturday April 13 10 a.m. — 3 p.m. in the meeting room.
3. One Book, One Community will meet the author, Allen Eskens on Sunday April 14 at
2 p.m. at the Hutchinson Event Center. This is Legacy funded.
4. McLeod County Libraries Meet the Author — Brian Freeman, Tuesday May 14, 6 p.m.
at the Glencoe City Center. This is also Legacy funded.
5. Willmar's Friends of the Library fundraiser Wisdom and Wine — Thursday, June 13
with Minnesota authors Allen Eskens, William Kent Krueger, and Kao Kalia Yang.
6. Katy will be sending letters of appreciation to Steve, Julie and Jack for their
participation on the board for two terms. She also read a letter Steve sent to the board
concerning his experience on the board and how he has benefited.
Library Buzz — What Have You Been Reading/Watching?
Julie — The Life We Bury by Allen Eskens; The Life Changing Magic of Tidying Up by
Marie Kondo
Mary — History of McLeod County
Christine — Deep South by Paul Theroux
Gerry — The Spy and the Traitor by Ben Macintyre; The Double -Cross System by J.C.
Masterman; Operation Mincemeat by Ben Macintyre
Katy — Becoming by Michelle Obama
Carolyn — The Library Book by Susan Orlean; The Ravenmaster by Christopher Skaife;
The Catalogue of Shipwrecked Books by Edward Wilson -Lee
Meeting adjourned at 5:20
Donations for February
$6,263.78 Friends of the Library
Next meeting April 22, 2019
Minutes submitted by Carolyn Ulrich
Library Board Meeting
April 22°d @ 4:30 p.m.
Mary Christensen, Margaret Hoffman, Kay Hultgren, and Jared Golde. Katy Hiltner, Ex-Officio.
Excused: Carolyn Ulrich, Kristine Leuze, and Gerry Grinde
Minutes of February March 25 meeting reviewed but not accepted; no quorum.
Welcome to New Board Members: Kay Hultgren, Jared Golde & Margaret Hoffman
Old Business:
Open Board Positions: With three new members joining the Library Board, members will
need to vote on positions. Since there was no quorum at this meeting, the Board will need
to nominate members at the May meeting. In previous correspondence with Katy,
Carolyn Ulrich has expressed interest in the position of President. Kay Hultgren also
volunteered to serve as Secretary as she has held this position on previous boards.
In addition, the Board will need to appoint a Vice President and Backup Secretary. Katy
shared brief information about the Pioneerland Library System (PLS) Board. Currently,
there are two local positions available on the PLS Board. These seats including
Hutchinson City and McLeod County. Jared Golde expressed interest in serving as a city
rep on the PLS Board. Katy will inform the City so the City Council may make a
recommendation.
2. Program Reports:
• National Library Week: As in past years, the Friends of the Library hosted a raffle prize
drawing in honor of National Library Week. A winner in each category (children, teen,
and adult), won a canvas tote bag and a coupon to the Friends of the Library Book Nook
Sale Table. In total, 40 library patrons signed up for the raffle drawing (14 children; 4
teens, and 22 adults). This year's raffle drawing included an interactive library display
board, which asked patrons to highlight a comment about their visit to the library. See
attached photo.
Friends of Library Spring Book Sale — The Friends held their annual Spring Book Sale on
Saturday, April 13t'. While it was not a large sale, the event did give the Friends an
opportunity to clear out books.
OBOC Author Event — Allen Eskens spoke at the Hutchinson Event Center on Sunday,
April 14t'. A total of 130 attended this program. Once Upon a Crime Bookstore sold
books and the author had a long line of people waiting to have their books signed. The
feedback from this program was very positive. This program was made possible thanks to
Legacy funding.
Reminder: McLeod County Libraries Meet the Author — Brian Freeman will be speaking
at the Glencoe City Center on Tuesday, April 14t' at 6 p.m. Brian and his wife will be
selling books after this author event. This is a Legacy funded event.
New Business:
2019 Library Goals - The Library Board was asked to review the goals set in 2018
and consider new goals for 2019. Along with making sure the goals are measurable,
Jared suggested that the board consider whether or not it wishes to carryover any
goals into 2019. A further review and setting of the 2019 goals will be discussed at
the May meeting.
2. Facility Updates — Facility Manager JJ Verhey is pulling together the final pieces for
a Minnesota Department of Education Library Construction grant for improvements.
This grant will provide funding for the library's roof and bathroom renovations.
Project dates have not been set. As the Board considers 2019 goals, Katy mentioned
there is the possibility of submitting a second grant request for the renovation of the
library's interior.
3. Retro Writer's Event will be held on Tuesday, April 30t'. This event will be held from
6-8 p.m. in the library's meeting room. The co-sponsor of this program is the Crow
River Quill and Ink Society. Members will be bringing manual and electric
typewriters, quill pens, and writing prompts. It's a program for all ages.
4. Library Buzz — What Have You Been Reading/Watching?
Carolyn — Did not attend the meeting but has read a quantity and variety of books.
Kay — Sea Power: The History of Geopolitics of the World's Oceans by James Stavridis
Jared — Scale and Scope: The Dynamics of Industrial Capitalism by Alfred D.
Chandler, Jr.
Margaret — The Feather Thief. Beauty, Obsession, and the Natural History Heist of the
Century by Kirk Wallace Johnson
Mary — McLeod County history
5. Other: Why did you join the Hutchinson Library Board? Jared started a discussion
about why each member decided to join the board. Kay and Margaret both
commented that they believe in community service and consider themselves to be
"born" volunteers. Jared grew up in Hutchinson and he and his wife, Rachelle, are
raising their four children here. As a parent and patron, he has seen gaps with current
library trends. He would like to analyze statistics and find ways for the library to
target a variety of age groups.
One Book, One Community — Katy advised the Board that book suggestions are
welcomed as the OBOC Committee is starting to consider books for 2020.
Meeting adjourned at 5:32 p.m.
Donations for February
$25.00 Nuvera donation — 2018 campagin "working Together Great Things Can Happen"
Next meeting Monday, May 20, 2019 (meeting a week earlier due to Memorial Day holiday)
Minutes submitted by Katy Hiltner, head librarian
MINUTES
Regular Meeting — Hutchinson Utilities Commission
Wednesday, March 27, 2019
Call to order — 3:00 p.m.
Vice President Matt Cheney called the meeting to order. Members present: Vice
President Matt Cheney; Secretary Robert Wendorff; Commissioner Monty Morrow;
Commissioner Anthony Hanson; GM Jeremy Carter
Absent: President Don Martinez and Attorney Marc Sebora
Conflict of Interest
2. Approve Consent Agenda
a. Approve Minutes
b. Ratify Payment of Bills
Motion by Commissioner Morrow, second by Commissioner Wendorff to approve
the Consent Agenda. Motion carried unanimously.
3. Approve Financial Statements
Jared Martig presented the financial statements. For the Electric Division,
Purchased Power is up due to not being able to start an engine at Plant 2 during the
Polar Vortex. For the Natural Gas Division, Natural Gas net income decreased by
$277,557. The decrease is mostly due to the credit on customer bills that were
missing in 2018. This is the last month of not being able to compare year to year
due to the missing credits from 2018.
GM Carter discussed how the Polar Vortex affected HUC and other Utilities in the
Midwest. GM Carter added that there have been many conversations on how to
mitigate the effects of extreme temperatures at the plants so this will not happen
again.
Commissioner Hanson inquired how many times extreme temperatures have
prevented HUC from starting an engine. Mr. Blake informed the Commission that it
has only happened one other time. HUC does have safe guards in place but it was
so cold and the engine would not operate that day.
GM Carter noted on the Electric Division, Large General is up from last year. The
increase is due to Uponor ramping up. GM Carter added that Industrial is down for
both HTI and 3M. HTI is ramping down and 3M has more energy efficiency in place.
Motion by Commissioner Hanson, second by Commissioner Morrow to approve the
financial statements. Motion carried unanimously.
4. Open Forum
5. Communication
a. City Administrator— Matthew Jaunich —
i. Middle of construction season
b. Divisions
i. Dan Lang, Engineering Services Manager — Absent
ii. Dave Hunstad, Electric Transmission/Distribution Manager —
1. Reviewed the 2018 Annual Benchmarking Report. HUC received
another Excellence in Reliability Certificate.
2. Projects will be starting soon.
iii. Randy Blake, Production Manager —
1 . Unit 1 auxiliary boiler has sprung a leak. Moorhead Boiler has already
come to weld the repair.
2. Cooling Tower cleanup work. There were three cracks found, will be
working with a local contractor to patch cracks inside and out.
Excavating will start this month and the cost of the repair will be about
$4K.
3. Construction down at Plant 1 is going well.
4. Quade's Electric has started on Units 6 & 7. Commissioner Hanson
inquired about the completion date and if it was behind schedule. Mr.
Blake noted the project is about one month behind.
iv. John Webster, Natural Gas Division Manager-
1. Attended the MEA Energy Association's Board of Directors meeting in
Austin Texas this month. Was elected to be an officer on the Board of
Directors.
v. Jared Martig, Financial Manager- Nothing to report
c. Legal — Marc Sebora — Absent
d. Human Resources - Brenda Ewing — Nothing to report
e. General Manager — Jeremy Carter
i. Catching up on Legislative bills
ii. Had an MMUA meeting in Owatonna with Dave. Discussed the new law
changes related to Distributed Energy Resources (DER) and the different
processes coming forward. In the next month or two, the Commission will
need to adopt new policies and rules to comply with the new State laws.
iii. Continuing to work on strategic planning. Will be sending topics to managers
this week. If the commissioners have anything to add, please send them
soon.
6. Policies
a. Review Policies
i. Section 3 of Exempt Handbook
ii. Section 3 of Non -Exempt Handbook
No changes recommended at this time.
b. Approve Changes
No changes made to the policies under review.
7. Unfinished Business
2
8. New Business
a. Approve Requisition #007878, Custom Dakota Aluminum Service Body
Mr. Webster presented Requisition #007878, Custom Dakota Aluminum Service
Body. Earlier in the year, two new pickup trucks were ordered without the service
body. This requisition is for the service body, related work equipment,
miscellaneous materials and labor required for installation on the 2019 Ford F250.
A motion by Commissioner Morrow, second by Commissioner Hanson to Approve
Requisition #007878, Custom Dakota Aluminum Service Body. Motion carried
unanimously.
b. Approve Requisition #007879, Custom Dakota Aluminum Service Body
Mr. Webster presented Requisition #007879, Custom Dakota Aluminum Service
Body. As above, the pickup for this body was ordered earlier in the year. This
requisition is for the service body, related work equipment, miscellaneous
materials and all labor required for installation on a 2019 Ford F350.
A motion by Commissioner Wendorff, second by Commissioner Morrow to
Approve Requisition #07879, Custom Dakota Aluminum Service Body. Motion
carried unanimously.
c. Approve Requisition #007887, Purchase of Lube Oil
Mr. Blake presented Requisition #007887, Purchase of Lube Oil. The lube oil for
units 6 & 7 was not included in the Caterpillar contract. In order to be compliant
with the CAT warranty, HUC must use CAT1 NGEO Ultra 40 oil. This requisition
will be sufficient for both engines needing 850 gallons each along with having 100
gallons for inventory when needed.
A motion by Commissioner Hanson, second by Commissioner Wendorff to
Approve Requisition #007887, Purchase of Lube Oil. Motion carried unanimously.
d. Purchase of Natural Gas Commodity November 2026-October 2029
Mr. Webster presented Purchase of Natural Gas Commodity November 2026-
October 2029. Natural gas commodity was purchased for HUC customers for the
time period of November 2026 thru October 2029. Additionally, volumes not
associated with the prepay deal were blended in the future months in order to
reduce the price of the commodity. By blending the December 2024 thru October
2026 gas at $4.535 per Dth with the November 2026 thru October 2029 gas, HUC
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was able to acquire the $4.535 down to a new price of $4.08 Dth. This is not a
savings but a reduction in cost.
9. Adjourn
There being no further business, a motion by Commissioner Morrow, second by
Commissioner Wendorff to adjourn the meeting at 3:29p.m. Motion carried
unanimously.
ATTEST_ : -
-D-6n Martinez, Presi t
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