05-29-2019 HUCCPHUTCHINSON UTILITIES COMMISSION
AGENDA
REGULAR MEETING
May 29, 2019
3:00 p.m.
1. CONFLICT OF INTEREST
2. APPROVE CONSENT AGENDA
a. Approve Minutes
b. Ratify Payment of Bills
3. APPROVE FINANCIAL STATEMENTS
4. OPEN FORUM
5. COMMUNICATION
a. City Administrator
b. Divisions
C. Human Resources
d. Legal
e. General Manager
6. POLICIES
a. Review Policies
i. Section 5 of Exempt Handbook
ii. Section 5 of Non -Exempt Handbook
b. Approve Changes
7. UNFINISHED BUSINESS
8. NEW BUSINESS
a. Approve Bid for Unit 8 Control System Replacement
b. Approve 211 Amendment to Natural Gas Transportation Agreement -
TDK/HTI
9. ADJOURN
MINUTES
Regular Meeting — Hutchinson Utilities Commission
Wednesday, April 24, 2019
Call to order — 3:00 p.m.
President Don Martinez called the meeting to order. Members present: President Don
Martinez; Vice President Matt Cheney; Secretary Robert Wendorff; Commissioner
Anthony Hanson; GM Jeremy Carter; Attorney Marc Sebora:
Absent: Commissioner Monty Morrow
1. Conflict of Interest
Commissioner Wendorff declared conflict of interest in voting on agenda item 2b
Ratify Payment of Bills; Mr. Wendorff is on this month's payment of bills. Mr.
Wendorff will be abstaining.
2. Approve Consent Agenda
a. Approve Minutes
b. Ratify Payment of Bills
Motion by Commissioner Hanson, second by Commissioner Cheney to approve the
Consent Agenda. Motion carried unanimously.
3. Approve 2018 Financial Audit — Presentation by Justin McGraw
Justin McGraw with Conway, Deuth & Schmiesing audit firm presented the 2018
Hutchinson Utilities Commission independent audit report. Mr. McGraw stated that
the audit was conducted in accordance with the Generally Accepted Auditing
Standards and Government Auditing Standards. The financial statements of the
Commission are presented fairly in the firms' opinion. Mr. McGraw reviewed the
Statement of Net Position. Assets did increase in 2018 with liabilities decreasing.
Overall Net Position did increase in 2018. Mr. McGraw reviewed the Cash and
Investment Balances.
Electric Division Operating Revenues and Expenses both increased in 2018.
Natural Gas Division Operating Revenues increased with Operating Expenses
decreasing.
Mr. McGraw summarized the Communications portion of the report and the general
recommendations that consist of cross -training and capital asset accounting. Mr.
McGraw added that management was very helpful.
Motion by Commissioner Hanson, second by Commissioner Wendorff to approve
the 2018 Financial Audit. Motion carried unanimously.
4. Approve Financial Statements
GM Carter presented the financial statements. Everything is consistent from 2018.
GM Carter noted the year to date 2018 numbers are all now updated audited
numbers on the Cash -Designations Report. GM Carter added on the Natural Gas
1
Division Graph, Large Industrial and Large Industrial Contracts are now separated
out.
Mr. Martig noted Natural Gas net income decreased by $121,410, mostly due to the
credit on customer bills that was absent in 2018. Purchased Gas was up due to
paying more on the spot market for swing gas over March 2018.
Motion by Commissioner Cheney, second by Commissioner Wendorff to approve
the financial statements. Motion carried unanimously.
5. Open Forum
6. Communication
a. City Administrator —Matthew Jaunich —
i. 5t" Ave project to be starting in June
ii. Will be replacing roof at Recreation Center, bids are starting to come in.
b. Divisions
i. Dan Lang, Engineering Services Manager —
1. Completed NERC audit, no violations were found.
2. Had bid opening for Unit 8 Control System Upgrade on April 2- will need
to reject bids and re -advertise.
ii. Dave Hunstad, Electric Transmission/Distribution Manager —
1 . Finishing up work at plant
2. Starting hospital project next week
3. Season projects starting soon
iii. Randy Blake, Production Manager —
1 . Dale Sturges will be retiring in April.
2. Construction project; overall coming together. Fagen will be flushing all
pipes on May 1 — will take about 5 days to complete.
iv. John Webster, Natural Gas Division Manager-
1. Helping out at the plant
v. Jared Martig, Financial Manager-
1. Will be meeting with BS&A next month on inventory and Capital Assets.
c. Legal — Marc Sebora — Nothing to report
d. Human Resources - Brenda Ewing — Nothing to report
e. General Manager — Jeremy Carter
i. Had first Union sub -committee meeting last week.
ii. EDA meeting today
iii. APPA webinars next week
iv. Working through strategic planning topics
v. HDR was here this week for a meeting and tour of the plant. Issues were
addressed that HUC has had.
vi. Air permitting closed on April 22, this has now shifted to EPA for 15 days.
vii. Met with Nextera- exploring options for capacity and energy sales.
2
7. Policies
a. Review Policies
i. Section 4 of Exempt Handbook
ii. Section 4 of Non -Exempt Handbook
No changes recommended at this time.
b. Approve Changes
No changes made to the policies under review.
8. Unfinished Business
9. New Business
a. Unit #8 Control System Upgrade — Reject Bids from the April 2 bid opening
and Approve Re -Advertisement for Bids.
GM Carter presented Unit #8 Control System Upgrade — Reject Bids from the
April 2 bid opening and Approve Re -Advertisement for Bids. HUC received four
bid submittals but all bids contained errors due to missing or incomplete
information as required by the Advertisement for Bids and Bid Specifications.
HUC legal recommends that all bid submittals be rescinded and to re -advertise
for bids. This will not impact the timeframe.
A motion by Commissioner Cheney, second by Commissioner Hanson to Reject
Bids from the April 2 bid opening and Approve Re -Advertisement for Bids. Motion
carried unanimously.
b. Approve Requisition #7907, Unit 1 Steam Piping Repair
Mr. Blake presented Requisition #7907, Unit 1 Steam Piping Repair. In July of
2018 staff attempted to operate Unit 1 in combined cycle mode. While bringing
the steam turbine up to warming speed a leak was discovered on the superheat
line between the boiler and steam turbine. Staff aborted the testing, removed
insulation and found multiple leaks. HUC received three quotes for the repair. All
quotes include welding of pipes and re -insulating the pipes when welding is
completed.
A motion by Commissioner Cheney, second by Commissioner Wendorff to
Approve Requisition #7907, Unit 1 Steam Piping Repair. Motion carried
unanimously.
c. Approve Requisition #7908, Unit 1 Painting
3
Mr. Blake presented Requisition #7908, Unit 1 Painting. Unit 1 gas
turbine/generator modules were installed in 1993 and are beginning to rust.
There are several areas that have deteriorated and now need to be cleaned and
repainted. HUC has received three quotes for Unit 1 painting. This work was
budgeted for in 2019.
A motion by Commissioner Hanson, second by Commissioner Cheney to Approve
Requisition #7908, Unit 1 Painting. Motion carried unanimously.
d. Approve Requisition #7920, Purchase of Breakers
Mr. Hunstad presented Requisition #7920, Purchase of Breakers. On Wednesday
April 17, Unit 1 generator breaker failed. While locating a replacement, HUC found
Utility Transformer Brokers (UTB), a company that has three breakers that were
purchased new in 2017 but never used. UTB opted to go to a different type of
breaker and now has these to sell. The breakers were purchased new in 2017 for
$47,000 each and UTB is selling them for $37,000 each. This would now be a
good opportunity to replace two existing oil filled breakers at the Hutchinson
Substation. These are the last two oil breakers left at the Hutchinson Substation
and are currently 40 plus years old.
A motion by Commissioner Cheney, second by Commissioner Wendorff to
Approve Requisition #7920, Purchase of Breakers. Motion carried unanimously.
e. Dissolve Current Distributed Generation Policies
GM Carter presented dissolving the Current Distributed Generation Policies. GM
Carter recapped discussion from the previous month's meeting. There are new
law changes related to Distributed Energy Resources (DER) and different
processes coming forward. Commission will need to adopt new policies and rules
to comply with the new State laws.
GM Carter noted with the new process, there are now separate tracks that can be
followed to keep all companies moving forward without being slowed down.
Discussions were held about the different tracks and what impact HUC may see.
Mr. Hunstad added that this would be a positive for HUC as this would have
uniformity.
GM Carter added MMUA has put together a Resolution, Policy and Rules for all
Minnesota Municipals to adopt. This would replace HUC's existing policies and
create a more uniform process for DER. HUC recommends to dissolve its current
Distributed Generation Policies.
A motion by Commissioner Wendorff, second by Commissioner Cheney to
Dissolve Current Distributed Generation Policies. Motion carried unanimously.
f. Adopt Distributed Energy Resource (DER) Resolution, Policy and Rules
GM Carter presented the policy regarding DER and Net Metering and Rules
Governing the Interconnection of Co -generation and Small Power Production
12
Facilities. The policy and rules were created by MMUA for all Municipal Utilities
to have a consistent process to establish the application procedure and
qualification criteria for all customers for the delivery, interconnection, metering and
purchase of electricity from distributed energy resource facilities and to comply with
applicable laws and rules governing distributed energy resources.
A motion by Commissioner Hanson, second by Commissioner Cheney to Adopt
Distributed Energy Resource (DER) Resolution, Policy and Rules. Motion carried
unanimously.
g. Adopt Distributed Energy Resource Resolution Interconnection Process
GM Carter noted this interconnection process document is designed to be
customer -centric when explaining the steps and details to interconnect DER
systems to the distribution grid.
A motion by Commissioner Wendorff, second by Commissioner Cheney to Adopt
Distributed Energy Resource Resolution Interconnection Process. Motion carried
unanimously.
h. Northern Natural Gas Capacity release to CenterPoint Energy Services
Mr. Webster presented Northern Natural Gas Capacity release to CenterPoint
Energy Services. Mr. Webster noted that HUC currently holds tow natural gas
transportation contracts with Northern Natural Gas (NNG). HUC maintains the
capacity on the NNG pipeline system in the event of a catastrophic failure on the
Hutchinson natural gas pipeline. The annual expense for maintaining both
contracts in place is $16K. HUC would like to propose to release this capacity to
CenterPoint Energy Services from beginning May 1, 2019 for one year with
immediate recall rights.
A motion by Commissioner Hanson, second by Commissioner Cheney to Approve
Northern Natural Gas Capacity release to CenterPoint Energy Services. Motion
carried unanimously.
At this time, President Don Martinez looked to GM Carter for an additional item to
be added to the agenda.
i. Approval of HDR Change Order 11
GM Carter presented HDR Change Order 11. GM Carter reminded the
Commissioners that CAT had requested having an alternate bid for SCR work from
the contractors on the Installation of Units 6 & 7. When the time came to complete
the SCR work, CAT would then determine if the installation contractor would
complete the work or if CAT would complete the SCR work. Now that CAT has
completed the insulation and lagging for the SCR work, HUC needs to approve
Fagen Inc's change order 11 to complete the installation of Unit 6 & 7 exhaust
systems insulation and lagging including exhaust silencer, stack extension,
5
ductwork, rupture disks, expansion joints and all appurtenances from engine
exhaust outlet to stack outlet.
After discussion, a motion by Commissioner Hanson, second by Commissioner
Cheney to Approve Change Order 11 as proposed. Motion carried unanimously.
10. Adjourn
There being no further business, a motion by Commissioner Wendorff, second by
Commissioner Cheney to adjourn the meeting at 3:56p.m. Motion carried
unanimously.
ATTEST:
Don Martinez, President
0
Robert Wendorff, Secretary
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Fund: 1 ELECTRIC
04/22/2019 GEN 385(E)* MINNESOTA REVENUE
04/23/2019
GEN
381(E)
MISO
04/24/2019
GEN
68896
907 DALE STREET, LLC
04/24/2019
GEN
68897*
AARON CONN
04/24/2019
GEN
68898*
AARON CONN
04/24/2019
GEN
688994
ADVANCED PROCESS SOLUTIONS
04/24/2019 GEN 68900* AMERICAN PAYMENT CENTERS INC
04/24/2019 GEN 68901* ANDREW BONDERMAN
04/24/2019 GEN 68902 AUSTIN BEACH
04/24/2019 GEN 68903* BEATRICE FORSTROM
04/24/2019 GEN 68904 BENJAMIN WHAYLEN
04/24/2019 GEN 68905*4 BORDER STATES ELECTRIC SUPPLY
Pag 1/29
Account Dept
Amount
State Sales Tax
242-000-
00
61,755.00
City Sales Tax
242-000-
00
4,459.00
HECK GEN 385(E) TOTAL
66,214.00
Purchased Power
401-555-
02
30,745.04
Purchased Power
401-555-
02
877.32
HECK GEN 381(E) TOTAL
31,622.36
OVERPAYMENTS
142-000-
00
2.73
DEP REFUND/APPLIED
235-000-
00
65.00
DEP REFUND/APPLIED
235-000-
00
65.00
Sales Tax Receivable - Replace
186-000-
00
7.43
Tek-Fil 11/2" repair kit-140150-
402-554-
01
108.13
HECK GEN 68899 TOTAL
115.56
BOX RENTAL
401-903-
06
51.14
DEP REFUND/APPLIED
235-000-
00
65.00
OVERPAYMENTS
142-000-
00
32.64
DEP REFUND/APPLIED
235-000-
00
130.00
OVERPAYMENTS
142-000-
00
91.40
Generators
107-344-
00
3,389.22
POLE, HAPCO PRESIDENTIAL CAST ALUM
154-000-
00
1,517.35
PADLOCK, TRANSFORMER, STERLING 4019
154-000-
00
109.97
CONDUIT, SCH 40, 2" X 10, PVC
154-000-
00
33.00
TAPE, FIRE RETARDANT ELECTRIC ARC
154-000-
00
102.14
SHOVEL, SPADE D-HANDLE FPS, 4 3/4" x
154-000-
00
217.38
Sales Tax Receivable - Replace
186-000-
00
2.27
BATTERY, SIZE AA
401-550-
01
20.
02
ACCESSORY PLANT - MATERIALS -BEING
402-554-
01
98.66
Accessory Plant - Materials
402-554-
01
(98.66)
HECK GEN 68905 TOTAL 5,391.35
05/22/2019 03:25
PM
CHECK DISBURSEMENT
REPORT FOR HUTCHINSON UTILITIES
Pag 2/29
User: JMartig
CHECK DATE FROM
04/20/2019 - 05/22/2019
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 1 ELECTRIC
04/24/2019
GEN
68906*
BRIANNA BRUNDELL
DEP REFUND/APPLIED
235-000-
00
52.00
04/24/2019
GEN
68907*
CAROL DENNESON
DEP REFUND/APPLIED
235-000-
00
162.50
04/24/2019
GEN
68908*
CATHERINE FASCHING OR ALEX
DEP REFUND/APPLIED
235-000-
00
110.50
04/24/2019
GEN
68909*
CHARLES FISHER
DEP REFUND/APPLIED
235-000-
00
97.50
04/24/2019
GEN
68910
DELMAR COMPANY
DIN-1100 gaskets HT-400
107-344-
00
335.68
1" x 6" x 26 1/2" long neoprene strips
107-344-
00
246.83
Sales Tax Receivable - Replace
186-000-
00
23.92
Sales Tax Receivable - Replace
186-000-
00
18.20
HECK GEN 68910 TOTAL
624.63
04/24/2019
GEN
68911*
DILLAN PETERSON
DEP REFUND/APPLIED
235-000-
00
227.50
04/24/2019
GEN
68912*
EVANGELINA GARCIA OR O ESCANDON
JR DEP REFUND/APPLIED
235-000-
00
42.25
04/24/2019
GEN
68913
EVERETT PETERSEN
OVERPAYMENTS
142-000-
00
57.28
04/24/2019
GEN
68914
FASTENAL COMPANY
Maintenance Other - Materials
402-554-
01
6.85
04/24/2019
GEN
68915
GREAT RIVER ENERGY
TRANSMISSION EXPENSE
401-565-
03
169,098.11
04/24/2019
GEN
68916
GREG BUNKE
OVERPAYMENTS
142-000-
00
305.60
04/24/2019
GEN
68917
HER ENGINEERING INC
Generators
107-344-
00
21,814.26
04/24/2019
GEN
68918*
HILARIO NARVAEZ-BAMIREZ
DEP REFUND/APPLIED
235-000-
00
84.50
04/24/2019
GEN
68919*
JERRY MICKOLICHEK
DEP REFUND/APPLIED
235-000-
00
32.50
04/24/2019
GEN
68920*
JON LAMERS
DEP REFUND/APPLIED
235-000-
00
32.50
04/24/2019
GEN
68921*
JUSTIN MEYER OR EMILY UPEGUI
DEP REFUND/APPLIED
235-000-
00
45.50
04/24/2019
GEN
68922
JUUL CONTRACTING COMPANY
PRIME MOVERS/RENEWABLES
107-343-
00
500.00
04/24/2019
GEN
68923
KAY E YOCH
Cip - Residential
401-916-
07
25.00
04/24/2019
GEN
68924*
LEAGUE OF MN CITIES INS TRUST
PREPAID INSURANCE
174-000-
00
128.44
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Fund: 1 ELECTRIC
04/24/2019 GEN 68925* LINETTE BETKER
04/24/2019 GEN 689264 MATHESON TRI-GAS INC
04/24/2019
GEN
68927*
MICHAEL CHELIN
04/24/2019
GEN
68928*
MRH PROPERTIES LLC
04/24/2019
GEN
68930
PET SMART 3179
04/24/2019
GEN
68931
PSI ENGINEERING LLC
04/24/2019
GEN
68932
RICK STAPLETON
04/24/2019
GEN
68933
ROBERT BRANDVOLD
04/24/2019
GEN
68934*
SHANNON SODERBERG
04/24/2019
GEN
68935
STEVEN LAMECKER
04/24/2019
GEN
68936*
STUART GAMRADT
04/24/2019
GEN
68937*
SUSAN CALVIN
04/24/2019
GEN
68938*
UIS/SOURCECORP
04/24/2019 GEN 68939 UTILITY TRANSFORMER BROKERS
Pag 3/29
Account Dept
Amount
DEP REFUND/APPLIED
235-000-
00
201.50
Sales Tax Receivable -
Replace
186-000-
00
149.30
Generator 41 Material
402-554-
01
2,321.92
HECK GEN 68926 TOTAL
2,471.22
DEP REFUND/APPLIED
235-000-
00
195.00
DEP REFUND/APPLIED
235-000-
00
1,040.00
Cip- Commercial
401-916-
07
2,922.50
Cip- Commercial
401-916-
07
153.00
HECK GEN 68930 TOTAL
3,075.50
FILTER BAG, 50 MICRO,
TOWER BY-PASS,
6" 154-000-
00
524.00
FILTER BAG, 50 MICRO,
TOWER BY-PASS,
6" 154-000-
00
73.24
HECK GEN 68931 TOTAL
597.24
Cip - Residential
401-916-
07
25.00
OVERPAYMENTS
142-000-
00
112.09
DEP REFUND/APPLIED
235-000-
00
195.00
Cip - Residential
401-916-
07
18.00
DEP REFUND/APPLIED
235-000-
00
71.50
DEP REFUND/APPLIED
235-000-
00
195.00
COLLECTION - MATERIALS
401-903-
06
404.89
COLLECTION - MATERIALS
401-903-
06
1,458.64
HECK GEN 68938 TOTAL
1,863.53
69 KV Breaker 1200 Amp
107-344-
00
37,000.00
69 KV Breaker 1200 amp
for Hutch Sub
107-362-
00
74,000.00
Shipping
107-362-
00
5,500.00
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Dept
Pag 4/29
Amount
Fund: 1 ELECTRIC
HECK GEN 68939 TOTAL
116,500.00
04/24/2019
GEN
68940*
VAN KARG OR LEEANN KARG
DEP REFUND/APPLIED
235-000-
00
162.50
04/24/2019
GEN
68941*
ZACH WEIDMAN
DEP REFUND/APPLIED
235-000-
00
42.25
04/25/2019
GEN
369(E)*4
BP CANANDA ENERGY SOLUTIONS
GENERATOR 41 NATURAL GAS
401-547-
01
368.20
GENERATOR 41 NATURAL GAS
401-547-
01
35, 040.
90
Generator 41 Aux Boiler
401-547-
01
752.42
GENERATOR 43 NATURAL GAS
401-547-
01
28.32
GENERATOR 44 NATURAL GAS
401-547-
01
28.
32
GENERATOR 45 NATURAL GAS
401-547-
01
56.65
GENERATOR 48 NATURAL GAS
401-547-
01
99.
13
Generator 49 Natural Gas
401-547-
01
177.03
Utility Expenses - Water/Waste
401-930-
08
4,526.11
HECK GEN 369(E) TOTAL
41,077.08
04/30/2019
GEN
382(E)
MISO
Purchased Power
401-555-
02
17,180.93
Purchased Power
401-555-
02
875.04
HECK GEN 382(E) TOTAL
18,055.97
05/01/2019
GEN
68944
BEELER CHIROPRACTIC CLINIC
OVERPAYMENTS
142-000-
00
123.69
05/01/2019
GEN
68945*
BIRCHDALE FIRE & SAFETY LLP
GROUNDS - OUTSIDE SERVICES
401-935-
08
35.27
05/01/2019
GEN
68946
BONNIE KRUEGER
Cip - Residential
401-916-
07
250.00
05/01/2019
GEN
68947*4
BORDER STATES ELECTRIC SUPPLY
ANCHOR ROD, TWIN EYE ASSY, 5/8"X 7,
154-000-
00
83.
52
BLADE, RECIP SAW, LENX 106R, 12" 6T
154-000-
00
34.03
Sales Tax Receivable - New
186-000-
00
5.74
Line - Materials
401-581-
02
145.24
HECK GEN 68947 TOTAL
268.53
05/01/2019
GEN
68948*
CHAD KARG
Cip - Residential
401-916-
07
400.00
05/01/2019
GEN
68949*4
CINTAS CORPORATION 4470
Uniforms & Laundry
401-550-
01
314.16
UNIFORMS & LAUNDRY
401-588-
02
263.66
HECK GEN 68949 TOTAL
577.82
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Fund: 1 ELECTRIC
05/01/2019 GEN 6895014 CITY OF HUTCHINSON
05/01/2019 GEN 68951 COLONIAL SUPPLEMENTAL INS CO
05/01/2019 GEN 68952 CREEKSIDE SOILS
05/01/2019 GEN 68953 FAGEN, INC
05/01/2019 GEN 68954*4 FASTENAL COMPANY
05/01/2019 GEN 68955 FERGUSON ENTERPRISES 4525
05/01/2019 GEN 68956 GREAT RIVER ENERGY
05/01/2019 GEN 68957* GUARDIAN
05/01/2019
GEN
68958
HILLYARD/HUTCHINSON
05/01/2019
GEN
68959
HOFFMAN FILTER SERVICE
05/01/2019
GEN
68960*
HUTCHFIELD SERVICES INC
05/01/2019
GEN
689614
JOHN HENRY FOSTER
Pag 5/29
Account Dept
Amount
Generator 41 Water & Sewer
401-547-
01
229.17
Generator 41 Water & Sewer
401-547-
01
514.54
Waste Disposal
401-550-
01
102.05
Waste Disposal
401-550-
01
8.38
Waste Disposal
401-550-
01
478.07
Utility Expenses - Water/Waste
401-930-
08
394.40
Utility Expenses - Water/Waste
401-930-
08
54.56
Utility Expenses - Water/Waste
401-930-
08
14.54
HECK GEN 68950 TOTAL
1,795.71
COLONIAL INSURANCE
242-000-
00
113.76
Materials
401-588-
02
82.57
Generators
107-344-
00
347,958.37
Materials
401-588-
02
58.39
1 1/2" blk half coupling - BSHCSTJ
107-344-
00
14.23
1 1/2" blk stl nipple - part # BNJM
107-344-
00
17.20
1 1/2" blk mi 1504 90 ell -part # B9J
107-344-
00
15.82
1 1/2" ELK plug - part #
107-344-
00
7.33
1 1/2" brs 6004 thrd BV-part 4MEA475BJ
107-344-
00
97.35
Sales Tax Receivable - Replace
186-000-
00
10.44
HECK GEN 68955 TOTAL
162.37
PURCHASED POWER
401-555-
02
834.00
DENTAL INSURANCE -COBRA
242-000-
00
318.27
DENTAL INSURANCE-D STURGES WILL CREDIT
242-000-
00
106.09
DENTAL INSURANCE-80o ELEC
242-000-
00
3, 740. 62
HECK GEN 68957 TOTAL
4,164.98
Supplies
401-550-
01
142.81
PAD, OIL ABSORBANT, 16" X 18", IN WPHL,
154-000-
00
221.23
Grounds - Outside Services
401-935-
08
1,112.73
Sales Tax Receivable - Replace
186-000-
00
115.69
Unloader assembly -part # 1622349080
402-554-
01
1,642.93
Gasket - part 4 1622781100
402-554-
01
39.81
HECK GEN 68961 TOTAL
1,798.43
05/22/2019 03:25
PM
CHECK DISBURSEMENT
REPORT FOR HUTCHINSON UTILITIES
Pag
6/29
User: JMartig
CHECK DATE FROM
04/20/2019 - 05/22/2019
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 1 ELECTRIC
05/01/2019
GEN
68963*
MARCO TECHNOLOGIES, LLC
Office Supplies
401-921-
08
360.67
05/01/2019
GEN
68964*
MARK MADSON
Cip - Residential
401-916-
07
275.00
05/01/2019
GEN
68965*
MEDICA
HEALTH INSURANCE 85% ELEC
242-000-
00
54,198.19
05/01/2019
GEN
68966
MICHELLE ROSENOW
OVERPAYMENTS
142-000-
00
200.51
05/01/2019
GEN
68967*
MN NCPERS
LIFE INSURANCE-PERA LIFE
242-000-
00
48.00
05/01/2019
GEN
68969*4
OXYGEN SERVICE COMPANY INC
Supplies
401-550-
01
41.65
05/01/2019
GEN
68970
PEARL SEALE
OVERPAYMENTS
142-000-
00
170.26
05/01/2019
GEN
68971*4
PRO AUTO & TRANSMISSION REPAIR
VEHICLES - MATERIAL-ELEC
402-598-
02
73.11
05/01/2019
GEN
68972
QUADE ELECTRIC
Generators
107-344-
00
45,900.00
05/01/2019
GEN
689734
KID EQUIPMENT
WIPER, 1.90
154-000-
00
69.14
WIPER, 1.90
154-000-
00
70.09
Power Equipment - Materials
402-598-
02
1,196.90
Power Equipment - Materials
402-598-
02
1,960.50
HECK GEN 68973 TOTAL
3,296.63
05/01/2019
GEN
68974*
RELIANCE STANDARD LIFE -LIFE
LTD INSURANCE-80o ELEC
242-000-
00
1, 400.26
LIFE INSURANCE-80o ELEC
242-000-
00
762.82
HECK GEN 68974 TOTAL
2,163.08
05/01/2019
GEN
68975
ROBERTO MARTINEZ
OVERPAYMENTS
142-000-
00
60.15
05/01/2019
GEN
68976*4
RUNNING'S SUPPLY INC
Generators
107-344-
00
117.45
Sales Tax Receivable - Replace
186-000-
00
8.66
Sales Tax Receivable - Replace
186-000-
00
3.48
Generator 45 Material
402-554-
01
47.16
Generator 45 Material
402-554-
01
16.51
Line - Materials
401-581-
02
79.52
Other Equipment - Materials
402-598-
02
46.30
HECK GEN 68976 TOTAL
319.08
05/01/2019
GEN
68978
STANDARD PRINTING & MAILING
Generators
107-344-
00
43.95
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
7/29
Amount
Fund: 1 ELECTRIC
05/01/2019
GEN
6897914
SWAGELOK MINNESOTA
3/8" SS ballvalve part # SS-43GS6
107-344-
00
307.13
Generators
107-344-
00
307.13
Sales Tax Receivable - Replace
186-000-
00
21.10
Sales Tax Receivable - Replace
186-000-
00
21.10
HECK GEN 68979 TOTAL
656.46
05/01/2019
GEN
68980
TWO SOCKETS -TWO METERS
VT pack 2:5:1 7.5 VA
401-586-
02
910.53
VT pack Wiring harness 12 It WH-STD-12
401-586-
02
165.79
HECK GEN 68980 TOTAL
1,076.32
05/01/2019
GEN
68981*
VERIZON WIRELESS
TELEPHONE
401-921-
08
1, 353.44
05/01/2019
GEN
68982
VILLAGE CO-OP OF
Cip- Commercial
401-916-
07
720.00
05/06/2019
GEN
374(E)
CITIZENS BANK
Office Supplies
401-921-
08
79.16
Office Supplies
401-921-
08
79.16
HECK GEN 374(E) TOTAL
158.32
05/06/2019
GEN
375(E)*
TASC
Prepaid HBA
174-000-
00
3,458.25
05/07/2019
GEN
383(E)
MISO
Purchased Power
401-555-
02
7,180.02
Purchased Power
401-555-
02
880.79
HECK GEN 383(E) TOTAL
8,060.81
05/10/2019
GEN
68983*4
ACE HARDWARE
Sales Tax Receivable - Replace
186-000-
00
0.34
Sales Tax Receivable - Replace
186-000-
00
1.03
Supplies
401-550-
01
26.46
Generator 45 Material
402-554-
01
4.99
Generator 48 Material
402-554-
01
14.98
Maintenance Other - Materials
402-554-
01
5.96
Materials
401-588-
02
15.15
Misc Other - Materials
401-935-
08
87.88
HECK GEN 68983 TOTAL
156.79
05/10/2019
GEN
68984*
ADAM KATZENMEYER OR DUSTIN KRUSE
DEP REFUND/APPLIED
235-000-
00
113.75
05/10/2019
GEN
68985
ALICIA FENNER
OVERPAYMENTS
142-000-
00
75.30
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
8/29
Amount
Fund: 1 ELECTRIC
05/10/2019
GEN
68986
BORDER STATES ELECTRIC SUPPLY
FUSE, SMU-20, 140K, 702140
154-000-
00
799.20
BULB, TRAFFIC, 130VOLT, 116W
154-000-
00
5.42
Sales Tax Receivable - New
186-000-
00
54.95
HECK GEN 68986 TOTAL
859.57
05/10/2019
GEN
68987
BRIAN NAMYST
OVERPAYMENTS
142-000-
00
45.63
05/10/2019
GEN
6898814
BS&A SOFTWARE
collection - Materials
401-903-
06
4,224.00
IT ADMIN AND SUPPORT
401-921-
08
7, 845.00
HECK GEN 68988 TOTAL
12,069.00
05/10/2019
GEN
68989*
CARD SERVICES
BREAKROOM/RECOGNITION BANQUET
401-926-
08
322.51
05/10/2019
GEN
689904
CARRIER COMMERCIAL SERVICE
Sales Tax Receivable - Replace
186-000-
00
64.67
Gasket -ND -part 409XR8500 0901
402-554-
01
346.50
Gasket -dished -part 409XR0500 7005
402-554-
01
530.50
HECK GEN 68990 TOTAL
941.67
05/10/2019
GEN
68991
CCP INDUSTRIES, INC
Line - Materials
401-581-
02
120.07
05/10/2019
GEN
68993*4
CITY OF HUTCHINSON
VEHICLE/EQUIPMENT FUEL -POWER
401-550-
01
212.74
VEHICLES/EQUIPMENT FUEL-ELEC
401-588-
02
1,525.31
VEHICLES/EQUIPMENT FUEL-ADMIN 55/45
401-935-
08
95.54
HECK GEN 68993 TOTAL
1,833.59
05/10/2019
GEN
68994
CREEKSIDE SOILS
Generators
107-344-
00
43.99
05/10/2019
GEN
68995
DAN RHODE
Cip - Residential
401-916-
07
25.00
05/10/2019
GEN
68996
DELMAR COMPANY
Gasket material NA1080-0032-59-63
401-550-
01
195.02
Gasket material NA1080-
401-550-
01
337.44
HECK GEN 68996 TOTAL
532.46
05/10/2019
GEN
68997*
DUANE BENNETT
DEP REFUND/APPLIED
235-000-
00
113.75
05/10/2019
GEN
689994
FASTENAL COMPANY
Generators
107-344-
00
6.49
Generators
107-344-
00
86.99
Sales Tax Receivable - Replace
186-000-
00
0.45
Supplies
401-550-
01
8.05
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
9/29
Amount
Fund: 1 ELECTRIC
Materials
401-588-
02
15.99
HECK GEN 68999 TOTAL
117.97
05/10/2019
GEN
69000*
FIRST CHOICE FOOD & BEVERAGE
BREAKROOM/RECOGNITION BANQUET
401-926-
08
85.50
05/10/2019
GEN
69001
FREMONT INDUSTRIES INC
TOWER INHIBITOR, F-9173
154-000-
00
3,955.27
TOWER INHIBITOR, F-9173
154-000-
00
65.04
HECK GEN 69001 TOTAL
4,020.31
05/10/2019
GEN
69002
FS3 INC
BATTERY PACK, DRILL HEAD, SIZE C, 2
154-000-
00
44.18
COMPOUND, BORING ROD & DRILL PIPE, 1
154-000-
00
43.
92
Sales Tax Receivable - New
186-000-
00
6.06
HECK GEN 69002 TOTAL
94.16
05/10/2019
GEN
69003
GERRIN DEHN OR JESSIE DEHN
OVERPAYMENTS
142-000-
00
49.69
05/10/2019
GEN
69004*4
GOPHER STATE ONE -CALL INC
LINE - MATERIALS
401-581-
02
112.05
05/10/2019
GEN
69006
HUSH SALON LLC
OVERPAYMENTS
142-000-
00
472.55
05/10/2019
GEN
69007
HUTCHINSON CO-OP
Other Equipment - Materials
402-598-
02
16.00
05/10/2019
GEN
69008*
HUTCHINSON LEADER
Cip - Marketing
401-916-
07
362.18
05/10/2019
GEN
69009*4
HUTCHINSON WHOLESALE SUPPLY CO
Materials
401-588-
02
12.80
Vehicles - Material
402-598-
02
12.48
HECK GEN 69009 TOTAL
25.28
05/10/2019
GEN
69010
INTEGRATED POWER
Leeson motor -item # 192321400
402-554-
01
825.64
05/10/2019
GEN
69011
IRBY TOOL & SAFETY
Uniforms & Laundry
401-588-
02
286.49
05/10/2019
GEN
69012
JOBY CROW OR ALICIA RICKMEYER
OVERPAYMENTS
142-000-
00
87.
02
05/10/2019
GEN
69013
JOE RATH
Cip - Residential
401-916-
07
25.00
05/10/2019
GEN
69014*
JORDAN VLIET OR JAYLENE VLIET
DEP REFUND/APPLIED
235-000-
00
146.25
05/10/2019
GEN
69017
KRIS TORKELSON
OVERPAYMENTS
142-000-
00
31.33
05/10/2019
GEN
69018*
KYLE SCHULTZ
DEP REFUND/APPLIED
235-000-
00
110.50
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
10/29
Amount
Fund: 1 ELECTRIC
05/10/2019
GEN
690194
LOCATORS & SUPPLIES INC
PAINT, LOCATING, PRECISION LINE
154-000-
00
100.99
Sales Tax Receivable - New
186-000-
00
6.93
RAIN JACKET, 1503JFY, SIZE XL
401-550-
01
129.00
HECK GEN 69019 TOTAL
236.92
05/10/2019
GEN
690204
MATHESON TRI-GAS INC
Sales Tax Receivable - Replace
186-000-
00
5.35
Generator 41 Material
402-554-
01
77.79
HECK GEN 69020 TOTAL
83.14
05/10/2019
GEN
690214
MCC ENERGY SOLUTIONS, LLC
I AM MANAGEMENT FEES
401-555-
02
3, 900.00
IAM USAGE FEES
401-556-
03
3,050.00
CHECK GEN 69021 TOTAL
6,950.00
05/10/2019
GEN
69022
MIGUEL PACHECO-RENTERIA
OVERPAYMENTS
142-000-
00
42.57
05/10/2019
GEN
69024
NIKIESHA ANDRESS
OVERPAYMENTS
142-000-
00
57.61
05/10/2019
GEN
69026*
NUVERA
TELEPHONE
401-921-
08
1,891.74
05/10/2019
GEN
69027*
ONE CALL NOW
COLLECTION - MATERIALS
401-903-
06
398.45
05/10/2019
GEN
69028*4
OXYGEN SERVICE COMPANY INC
GRINDING WHEEL, 4 1/2" X .045" X 7/8"
154-000-
00
173.55
GRINDING WHEEL, 4 1/2" X .045" X 7/8"
154-000-
00
26.19
WIRE BRUSH, KNOT CUP, METABO,
154-000-
00
95.05
WIRE BRUSH, KNOT CUP, METABO,
154-000-
00
14.35
Supplies
401-550-
01
61.95
Materials
402-574-
03
126.90
HECK GEN 69028 TOTAL
497.99
05/10/2019
GEN
69029
PAIGE VANLAERE OR PAUL VANLAERE
OVERPAYMENTS
142-000-
00
135.84
05/10/2019
GEN
69030
PEGGY JOHNSBURY
OVERPAYMENTS
142-000-
00
53.75
05/10/2019
GEN
69031*
PLUNKETTS
GROUNDS - OUTSIDE SERVICES
401-935-
08
122.30
GROUNDS - OUTSIDE SERVICES
401-935-
08
222.37
GROUNDS - OUTSIDE SERVICES
401-935-
08
122.30
HECK GEN 69031 TOTAL
466.97
05/10/2019
GEN
690324
QUADE ELECTRIC
PRIME MOVERS/RENEWABLES
107-343-
00
29.45
Generators
107-344-
00
381.90
05/22/2019 03:25
PM
CHECK DISBURSEMENT
REPORT FOR HUTCHINSON UTILITIES
Pag
11/29
User: JMartig
CHECK DATE FROM
04/20/2019 - 05/22/2019
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 1 ELECTRIC
Sales Tax Receivable - Replace
186-000-
00
26.25
Sales Tax Receivable - Replace
186-000-
00
2.02
Maintenance Other - Materials
402-554-
01
299.28
Building & Grounds - Materials
402-592-
02
12.71
HECK GEN 69032 TOTAL
751.61
05/10/2019
GEN
69034
ROSALBA M ZAVALA
OVERPAYMENTS
142-000-
00
38.59
05/10/2019
GEN
69035*
SHRED RIGHT
OFFICE SUPPLIES -SHREDDING SERVICES
401-921-
08
12.48
05/10/2019
GEN
69039*
TOTAL FIRE PROTECTION
GROUNDS - OUTSIDE SERVICES
401-935-
08
135.75
GROUNDS - OUTSIDE SERVICES
401-935-
08
182.90
GROUNDS - OUTSIDE SERVICES
401-935-
08
99.58
GROUNDS - OUTSIDE SERVICES
401-935-
08
83.54
HECK GEN 69039 TOTAL
501.77
05/10/2019
GEN
69040*4
TOWMASTER INC
Vehicles - Material
402-598-
02
178.30
05/10/2019
GEN
69041
UNITED COMMUNITY ACTION AGENCY
OVERPAYMENTS
142-000-
00
54.51
05/10/2019
GEN
69042*
UNITED PARCEL SERVICE
MAIL SERVICES - UPS, FEDEX
401-921-
08
138.71
05/10/2019
GEN
69043*4
WEST CENTRAL SANITATION INC
GENERATOR 41 WATER & SEWER
401-547-
01
88.74
Waste Disposal
401-550-
01
167.98
UTILITY EXPENSES - WATER/WASTE 55/45
401-930-
08
216.49
HECK GEN 69043 TOTAL
473.21
05/14/2019
GEN
370(E)*4
VISA
GENERATORS -FASTENERS
107-344-
00
1,219.69
GENERATORS -LED LIGHT STRIPS
107-344-
00
139.
98
Sales Tax Receivable - Replace
186-000-
00
10.32
Sales Tax Receivable - Replace
186-000-
00
6.19
MEETINGS & TRAVEL - WTUI CONFERENCE
401-546-
01
1,538.32
SUPPLIES-LABLE TAPE
401-550-
01
34.32
UNIFORMS & LAUNDRY -SWEAT BAND
401-550-
01
19.40
GENERATOR 41 FAN CONTROL
402-554-
01
172.59
ACCESSORY PLANT - TEMP LIGHTS
402-554-
01
83.98
ACCESSORY PLANT-CIRCUT BREAKER
402-554-
01
46.11
MAINTENANCE OTHER - BEARING CASE
402-554-
01
56.28
WILL BE REIMBURSED FROM D HUNSTAD
401-580-
02
158.30
MEETINGS & TRAVEL - APPA E&O CONF
401-580-
02
2, 027.86
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Account
Pag
Dept
12/29
Amount
Fund: 1 ELECTRIC
VEHICLES - MATERIAPINTLE HOOK
402-598-
02
642.02
BATTERY -USE 8.86
402-598-
02
128.83
Third Party Damage - Labor
416-107-
02
184.08
TELEPHONE -PHONE CASE
401-921-
08
42.
92
Grounds - Materials
401-935-
08
36.96
CHECK GEN 370(E) TOTAL
6,548.15
05/14/2019
GEN
376(E)
MISO
SCHEDULE 1
401-565-
03
4,010.83
SCHEDULE 2
401-565-
03
10,748.83
MISC
401-565-
03
5,418.30
HECK GEN 376(E) TOTAL
20,177.96
05/14/2019
GEN
377(E)
MISO
Transmission Expense
401-565-
03
5,844.34
05/14/2019
GEN
378(E)
MISO
SCHEDULE 26
401-565-
03
14,268.27
SCHEDULE 26A
401-565-
03
32,788.92
HECK GEN 378(E) TOTAL
47,057.19
05/14/2019
GEN
384(E)
MISO
Purchased Power
401-555-
02
30,871.41
Purchased Power
401-555-
02
894.78
HECK GEN 384(E) TOTAL
31,766.19
05/17/2019
GEN
69047
BEVERLY
LUKE Cip - Residential
401-916-
07
250.00
05/17/2019
GEN
69048*4
BORDER
STATES ELECTRIC SUPPLY CONDUCTOR, 2-4-2 URD 600V TRIPLEX
154-000-
00
2,253.00
KIT, SPLICE, QS4-15SP-QCI-2-4/0-BCA
154-000-
00
4,816.20
TAPE, VINYL MASTIC ROLL, 4" x 10 x
154-000-
00
60.86
TAPE, SUPER 33+ PROFESSIONAL GRADE
154-000-
00
85.70
ASSEMBLY, LED, ACORN, GRANVILLE II,
154-000-
00
21,955.82
PHOTO EYE, TWIST LOB, 105-305 VOLT,
154-000-
00
143.48
FUSE, ACORN, 5 AMP, GLRS
154-000-
00
59.05
TERMINAL BLOCK, 3 PLACE, "COVERED" CSB
154-000-
00
528.84
CONDUCTOR, 14 TW BLACK SOL
154-000-
00
35.50
CONDUCTOR, 14 TW WHITE SOL
154-000-
00
35.50
Sales Tax Receivable - New
186-000-
00
331.11
Sales Tax Receivable - New
186-000-
00
3.81
Sales Tax Receivable - Replace
186-000-
00
155.61
SAFETY VEST, RVZ2410SEX2, SIZE 2XL
401-550-
01
10.69
SAFETY VEST, RVZ2410SEL
401-550-
01
10.69
FRJ135 XL Duck active Jac (Jim and
401-588-
02
358.89
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
13/29
Amount
Fund: 1 ELECTRIC
HECK GEN 69048 TOTAL
30,844.75
05/17/2019
GEN
69050
CHAMBERLAIN OIL COMPANY INC
AERO SHELL TURBINE OIL 500
154-000-
00
7, 589.
84
AERO SHELL TURBINE OIL 500
154-000-
00
0.04
HECK GEN 69050 TOTAL
7,589.88
05/17/2019
GEN
69052*4
CINTAS CORPORATION 4470
Uniforms & Laundry
401-550-
01
442.14
Uniforms & Laundry
401-550-
01
388.68
UNIFORMS & LAUNDRY
401-588-
02
286.43
UNIFORMS & LAUNDRY
401-588-
02
294.
12
HECK GEN 69052 TOTAL
1,411.37
05/17/2019
GEN
69053*4
CITY OF HUTCHINSON
Other Equipment - Materials
402-598-
02
30.00
IT ADMIN AND SUPPORT 750
401-921-
08
2, 849.26
HECK GEN 69053 TOTAL
2,879.26
05/17/2019
GEN
69054*
CONWAY DEUTH & SCHMIESING PLLP
MISC SERVICES
401-923-
08
7,350.00
05/17/2019
GEN
69055
CREEKSIDE SOILS
Materials
401-588-
02
43.28
05/17/2019
GEN
69057*
DAVE DING
Cip - Residential
401-916-
07
400.00
05/17/2019
GEN
69058
DELMAR COMPANY
3" neoprene-NR-0125-150-3000-40D
401-550-
01
10.83
6" neoprene NR-0125-150-6000-40D
401-550-
01
35.14
HECK GEN 69058 TOTAL
45.97
05/17/2019
GEN
69059
DENISE HANSON
Cip - Residential
401-916-
07
25.00
05/17/2019
GEN
690614
FERGUSON ENTERPRISES 4525
PIPE, 1", ELK, PE A53A, S80
154-000-
00
195.34
PIPE, 1", ELK, PE A53A, S80
154-000-
00
71.51
10" PVC DWV ell -part # MUL026170
402-554-
01
277.39
10" PVC DWV ell -part # MUL026170
402-554-
01
71.50
HECK GEN 69061 TOTAL
615.74
05/17/2019
GEN
69062*
FIRST CHOICE FOOD & BEVERAGE
BREAKROOM/RECOGNITION BANQUET
401-926-
08
183.00
05/17/2019
GEN
690634
FREMONT INDUSTRIES INC
NON -OXIDIZING MICROBIOCIDE, BELLA355
154-000-
00
5,318.39
NON -OXIDIZING MICROBIOCIDE, BELLA355
154-000-
00
37.83
05/22/2019 03:25 PM
User: JMartig
BE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
14/29
Amount
Fund: 1 ELECTRIC
TOWER INHIBITOR, F-9173
154-000-
00
1,975.38
TOWER INHIBITOR, F-9173
154-000-
00
14.
90
BIO-DISPERSANT, BIODISP2
154-000-
00
2,423.34
BIO-DISPERSANT, BIODISP2
154-000-
00
16.79
FTR-60, Testing reagents
401-550-
01
166.24
FTR-60, Testing reagents
401-550-
01
15.44
FTE-163, Bacteria dip slides
401-550-
01
248.34
FTE-163, Bacteria dip slides
401-550-
01
23.06
FTR-17, Testing reagents
401-550-
01
39.00
FTR-17, Testing reagents
401-550-
01
3.62
FTR-42, Testing reagents
401-550-
01
37.76
FTR-42, Testing reagents
401-550-
01
3.51
FTR-44, Testing reagents
401-550-
01
12.00
FTR-44, Testing reagents
401-550-
01
1.11
FTR-46, Testing reagents
401-550-
01
49.80
FTR-46, Testing reagents
401-550-
01
4.62
FTR-52, Testing reagents
401-550-
01
95.24
FTR-52, Testing reagents
401-550-
01
8.84
FTR-80, Testing reagents
401-550-
01
26.00
FTR-80, Testing reagents
401-550-
01
2.41
FTR-11. Testing reagent
401-550-
01
45.30
FTR-11. Testing reagent
401-550-
01
4.21
FTR-28, Testing reagent
401-550-
01
21.36
FTR-28, Testing reagent
401-550-
01
1.98
FWT-17, PH 4 buffer
401-550-
01
104.00
FWT-17, PH 4 buffer
401-550-
01
9.66
FTR-29, Testing reagent
401-550-
01
21.04
FTR-29, Testing reagent
401-550-
01
1.95
FTR-50, Testing reagent
401-550-
01
64.98
FTR-50, Testing reagent
401-550-
01
6.03
FWT-18, PH 7 buffer
401-550-
01
78.00
FWT-18, PH 7 buffer
401-550-
01
7.24
FWT-19, PH 10 buffer
401-550-
01
78.00
FWT-19, PH 10 buffer
401-550-
01
7.24
FWT-5, 45 Micromho
401-550-
01
44.00
FWT-5, 45 Micromho
401-550-
01
4.08
FWT-6, 445 Micromho
401-550-
01
16.00
FWT-6, 445 Micromho
401-550-
01
1.49
FWT-7, 2060 Micromho
401-550-
01
72.00
FWT-7, 2060 Micromho
401-550-
01
6.68
HECK GEN 69063 TOTAL
11,118.86
05/17/2019 GEN 69064
HER ENGINEERING INC Professional Services - Outsid
401-557-
03
2,668.39
05/22/2019 03:25 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 04/20/2019 - 05/22/2019
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 1 ELECTRIC
05/17/2019
GEN
69065
HILLYARD/HUTCHINSON
Supplies
401-550-
01
05/17/2019
GEN
69066*
INNOVATIVE OFFICE SOLUTIONS
OFFICE SUPPLIES
401-921-
08
05/17/2019
GEN
69067
INTERPOLL LABORATORIES INC
EMISSIONS TESTING UNITS
402-554-
01
05/17/2019
GEN
69068*
JACKIE BOETTCHER
Cip - Residential
401-916-
07
05/17/2019
GEN
69070
MATHEWS EASED COMPANIES
Cip- Commercial
401-916-
07
05/17/2019
GEN
69072
MCLEOD COUNTY TREASURER
Street Lighting - Materials
402-596-
02
05/17/2019
GEN
69073
MCMASTER-CARR SUPPLY COMPANY
Generators
107-344-
00
Sales Tax Receivable - Replace
186-000-
00
HECK GEN 69073 TOTAL
05/17/2019
GEN
69074
MINNESOTA POLLUTION CONTROL AGENCY
Generators
107-344-
00
05/17/2019
GEN
69075
MN DEPT OF PUBLIC SAFETY
REGULATORY EXPENSES
401-928-
08
Regulatory Expenses
401-928-
08
HECK GEN 69075 TOTAL
05/17/2019
GEN
69076
NERC
Purchased Power
401-555-
02
05/17/2019
GEN
69077*
NICK LIEDER
Cip - Residential
401-916-
07
05/17/2019
GEN
69078*
PHIL GRAVES
Cip - Residential
401-916-
07
05/17/2019
GEN
69080*
PREMIUM WATERS INC
OFFICE SUPPLIES -BOTTLED WATER
401-921-
08
05/17/2019
GEN
69081
PROCHASKA LLC
HYDROCHLORIC ACID - MURIATIC ACID, 20
154-000-
00
HYDROCHLORIC ACID - MURIATIC ACID, 20
154-000-
00
MEMBRANE CELL, 50o CAUSTIC SODA
154-000-
00
MEMBRANE CELL, 50o CAUSTIC SODA
154-000-
00
HECK GEN 69081 TOTAL
Pag 15/29
Amount
33.78
90.26
16,950.00
400.00
204.00
632.50
1,Its. 89
82.52
1,201.41
8,550.00
100.00
3,467.95
425.00
400.00
20.90
270.93
50.06
466.13
873.22
05/17/2019 GEN 69082 PYRAMID CONTROLS INC Beacon 410A - part # 72-2104A 107-344- 00 2,095.00
Strobe/horn combo -part 451-0097RK 107-344- 00 480.00
Ammonia sensors - part # 65-2301RK-NH3 107-344- 00 1,300.00
Generators 107-344- 00 62.75
Sales Tax Receivable - Replace 186-000- 00 270.72
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
05/17/2019
GEN
69084
T & R ELECTRIC SUPPLY CO INC
05/17/2019
GEN
69085
TAMMY LINDAHL
05/17/2019
GEN
69086
TERRY CHRISTENSEN
05/17/2019
GEN
69087*
UIS/SOURCECORP
05/17/2019
GEN
690884
WARTSILA OF NORTH AMERICA, INC
Account Dept
HECK
GEN 69082 TOTAL
Transformer Oil Testing Labor
401-588-
02
Cip -
Residential
401-916-
07
Cip -
Residential
401-916-
07
COLLECTION
- MATERIALS
401-903-
06
Sales
Tax Receivable - Replace
186-000-
00
Field
service -troubleshoot PLC
problems 402-554-
01
HECK
GEN 69088 TOTAL
Pag 16/29
Amount
4,208.47
2,468.81
250.00
25.00
201.49
1,056.96
14,331.76
15,388.72
05/21/2019
GEN
371(E)*
MINNESOTA REVENUE
State Sales Tax
242-000-
00
56,215.00
City Sales Tax
242-000-
00
4,061.00
HECK GEN 371(E) TOTAL
60,276.00
05/21/2019
GEN
372(E)
MRES
Purchased Power
401-555-
02
882,782.15
05/21/2019
GEN
373(E)*
POINT & PAY
collection - Materials
401-903-
06
2,378.46
05/21/2019
GEN
386(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
54,584.08
Deferred Energy Cost - Miso
174-000-
00
947.57
HECK GEN 386(E) TOTAL
55,531.65
05/22/2019
GEN
69089
AARON ANDERSON OR KAYTLYN RANNOW
OVERPAYMENTS
142-000-
00
0.40
05/22/2019
GEN
69090
BARTON SOLVENTS, INC
Norkool SLY concentrate ethylene glycol
107-344-
00
2,807.50
Norkool SLY concentrate ethylene glycol
107-344-
00
0.01
HECK GEN 69090 TOTAL
2,807.51
05/22/2019
GEN
69091*
BORDER STATES ELECTRIC SUPPLY
COUPLING, THRD, SA105, 1 1/2", ELK CS,
154-000-
00
53.16
FUSE HOLDER, SHR BUSS, GODS
154-000-
00
95.
90
FUSE HOLDER, SHR BUSS, GODS
154-000-
00
0.02
SPLICE, 4/0 AL/CU YSD28R28R
154-000-
00
45.00
SHOVEL, 42, CLOSED BACK 48",
154-000-
00
70.29
Sales Tax Receivable - New
186-000-
00
3.10
Sales Tax Receivable - Replace
186-000-
00
3.65
HECK GEN 69091 TOTAL
271.12
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Fund: 1 ELECTRIC
05/22/2019 GEN 69092* BROTHERS FIRE PROTECTION
05/22/2019 GEN 69093 CE POWER
05/22/2019 GEN 69094*4 CINTAS CORPORATION 4470
05/22/2019 GEN 69095*4 CITY OF HUTCHINSON
05/22/2019 GEN 69096 DEANNA ZINS
05/22/2019 GEN 690974 FASTENAL COMPANY
05/22/2019 GEN 69098 FERGUSON ENTERPRISES 4525
05/22/2019 GEN 69099 FOSTER MECHANICAL
05/22/2019 GEN 69100 GREAT RIVER ENERGY
05/22/2019 GEN 69102*4 HILLYARD/HUTCHINSON
Account Dept
Pag 17/29
Amount
GROUNDS - OUTSIDE SERVICES
401-935-
08
96.25
GROUNDS - OUTSIDE SERVICES
401-935-
08
137.50
HECK GEN 69092 TOTAL
233.75
Unit 1 generator and transformer
402-554-
01
4,750.00
Uniforms & Laundry
401-550-
01
354.04
UNIFORMS & LAUNDRY
401-588-
02
253.43
HECK GEN 69094 TOTAL
607.47
Generator 41 Water & Sewer
401-547-
01
146.71
Generator 41 Water & Sewer
401-547-
01
115.64
Waste Disposal
401-550-
01
97.41
Waste Disposal
401-550-
01
1,089.58
Waste Disposal
401-550-
01
478.07
Materials
401-588-
02
8.38
Utility Expenses - Water/Waste
401-930-
08
394.40
Utility Expenses - Water/Waste
401-930-
08
54.56
Utility Expenses - Water/Waste
401-930-
08
8.46
HECK GEN 69095 TOTAL
2,393.21
Cip - Residential
401-916-
07
250.00
Sales Tax Receivable - Replace
186-000-
00
1.57
Sales Tax Receivable - Replace
186-000-
00
5.57
Generator 41 Material
402-554-
01
22.83
Generator 41 Material
402-554-
01
80.97
Maintenance Other - Materials
402-554-
01
6.73
HECK GEN 69097 TOTAL
117.67
10" pvc coupling - part # P80SC10
402-554-
01
414.48
Maint Power Prod Plant - Build
402-554-
01
475.28
Generator 41 Material
402-554-
01
558.15
HECK GEN 69099 TOTAL
1,033.43
TRANSMISSION EXPENSE
401-565-
03
131,897.47
Supplies
401-550-
01
89.42
Grounds - Materials
401-935-
08
154.34
05/22/2019 03:25
PM
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
Pag
18/29
User: JMartig
CHECK DATE FROM
04/20/2019 - 05/22/2019
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 1 ELECTRIC
HECK GEN 69102 TOTAL
243.76
05/22/2019
GEN
69103*
HUTCHINSON JAYCEES WATER CARNIVAL
CIP - MARKETING
401-916-
07
750.00
05/22/2019
GEN
69104*
INNOVATIVE OFFICE SOLUTIONS
OFFICE SUPPLIES
401-921-
08
71.48
05/22/2019
GEN
69105
KASSANDRA FELTZ
OVERPAYMENTS
142-000-
00
31.68
05/22/2019
GEN
69106
LUANN MUELLER
Cip - Residential
401-916-
07
25.00
05/22/2019
GEN
691074
MCMASTER-CARR SUPPLY COMPANY
Generators
107-344-
00
74.79
Generators
107-344-
00
253.47
Sales Tax Receivable - Replace
186-000-
00
5.52
Sales Tax Receivable - Replace
186-000-
00
18.69
Supplies
401-550-
01
421.87
HECK GEN 69107 TOTAL
774.34
05/22/2019
GEN
69108
MINNESOTA POLLUTION CONTROL AGENCY
Regulatory Expenses
401-928-
08
602.02
05/22/2019
GEN
69109
NICHOLAS EISENMENGER
OVERPAYMENTS
142-000-
00
31.23
05/22/2019
GEN
691104
PYRAMID CONTROLS INC
Sales Tax Receivable - Replace
186-000-
00
91.20
Sensor - part # 65-2301RK-NH3
402-554-
01
1,326.50
HECK GEN 69110 TOTAL
1,417.70
05/22/2019
GEN
69111
QUADE ELECTRIC
Generators
107-344-
00
66,150.00
05/22/2019
GEN
691124
ROD EQUIPMENT
NOZZLE, 3600 PSI, 46 ROTARY
154-000-
00
197.43
Materials
401-588-
02
347.79
HECK GEN 69112 TOTAL
545.22
05/22/2019
GEN
69113
STANLEY HEEREMA
OVERPAYMENTS
142-000-
00
36.25
05/22/2019
GEN
69114
TAMARA MERKINS OR NATHAN FASCHING
OVERPAYMENTS
142-000-
00
301.
92
05/22/2019
GEN
69115*
TASC
HEALTH INSURANCE-2018 HRA FORFEITURE
401-926-
08
9, 467.60
05/22/2019
GEN
69116
THERESA BRANDEL
Cip - Residential
401-916-
07
25.00
05/22/2019
GEN
69117*
UIS/SOURCECORP
COLLECTION - MATERIALS
401-903-
06
368.19
COLLECTION - MATERIALS
401-903-
06
1,449.39
HECK GEN 69117 TOTAL
1,817.58
05/22/2019 03:25 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES Pag 19/29
User: JMartig CHECK DATE FROM 04/20/2019 - 05/22/2019
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept Amount
Fund: 1 ELECTRIC
Total for fund 1 ELECTRIC 2,463,858.07
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Fund: 2 GAS
04/22/2019 GEN 385(E)* MINNESOTA REVENUE
04/24/2019 GEN 68897* AARON CONN
04/24/2019 GEN 68898* AARON CONN
04/24/2019 GEN 68900* AMERICAN PAYMENT CENTERS INC
04/24/2019 GEN 68901* ANDREW BONDERMAN
04/24/2019 GEN 68903* BEATRICE FORSTROM
04/24/2019 GEN 68905*4 BORDER STATES ELECTRIC SUPPLY
Account Dept
State Sales Tax
242-000-
00
City Sales Tax
242-000-
00
HECK GEN 385(E) TOTAL
DEP REFUND/APPLIED
235-000-
00
DEP REFUND/APPLIED
235-000-
00
BOX RENTAL
401-903-
06
DEP REFUND/APPLIED
235-000-
00
DEP REFUND/APPLIED
235-000-
00
Mains
107-376-
00
CAP, 2", SMLS WELD FITTING ,
STD WGHT 154-000-
00
Materials
402-892-
04
Materials
402-892-
04
HECK GEN 68905 TOTAL
04/24/2019
GEN
68906*
BRIANNA BRUNDELL
DEP
REFUND/APPLIED
04/24/2019
GEN
68907*
CAROL DENNESON
DEP
REFUND/APPLIED
04/24/2019
GEN
68908*
CATHERINE FASCHING OR ALEX
DEP
REFUND/APPLIED
04/24/2019
GEN
68909*
CHARLES FISHER
DEP
REFUND/APPLIED
04/24/2019
GEN
68911*
DILLAN PETERSON
DEP
REFUND/APPLIED
04/24/2019
GEN
68912*
EVANGELINA GARCIA OR O ESCANDON
JR DEP
REFUND/APPLIED
04/24/2019
GEN
68918*
HILARIO NARVAEZ-RAMIREZ
DEP
REFUND/APPLIED
04/24/2019
GEN
68919*
JERRY MICKOLICHEK
DEP
REFUND/APPLIED
235-000- 00
235-000- 00
235-000- 00
235-000- 00
235-000- 00
235-000- 00
235-000- 00
235-000- 00
Pag 20/29
Amount
11,242.00
791.00
12,033.00
35.00
35.00
41.84
35.00
70.00
502.31
61.18
58.59
565.63
28.00
87.50
59.50
52.50
122.50
22.75
45.50
17.50
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Fund: 2 GAS
04/24/2019
GEN
68920*
JON LAMERS
04/24/2019
GEN
68921*
JUSTIN MEYER OR EMILY UPEGUI
04/24/2019
GEN
68924*
LEAGUE OF MN CITIES INS TRUST
04/24/2019
GEN
68925*
LINETTE BETKER
04/24/2019
GEN
68927*
MICHAEL CHELIN
04/24/2019
GEN
68928*
MRH PROPERTIES LLC
04/24/2019
GEN
68929
NEW ULM PUBLIC UTILITIES
04/24/2019
GEN
68934*
SHANNON SODERBERG
04/24/2019
GEN
68936*
STUART GAMRADT
04/24/2019
GEN
68937*
SUSAN CALVIN
04/24/2019
GEN
68938*
UIS/SOURCECORP
04/24/2019 GEN 68940* VAN KARG OR LEEANN KARG
04/24/2019 GEN 68941* ZACH WEIDMAN
04/25/2019 GEN 369(E)*4 BP CANANDA ENERGY SOLUTIONS
Account Dept
Pag 21/29
Amount
DEP REFUND/APPLIED
235-000-
00
17.50
DEP REFUND/APPLIED
235-000-
00
24.50
PREPAID INSURANCE
174-000-
00
42.81
DEP REFUND/APPLIED
235-000-
00
108.50
DEP REFUND/APPLIED
235-000-
00
105.00
DEP REFUND/APPLIED
235-000-
00
560.00
PUBLIC AWARENESS - MATERIAL
401-856-
05
168.46
DEP REFUND/APPLIED
235-000-
00
105.00
DEP REFUND/APPLIED
235-000-
00
38.50
DEP REFUND/APPLIED
235-000-
00
105.00
COLLECTION - MATERIALS
401-903-
06
331.28
COLLECTION - MATERIALS
401-903-
06
1,193.43
HECK GEN 68938 TOTAL
1,524.71
DEP REFUND/APPLIED
235-000-
00
87.50
DEP REFUND/APPLIED
235-000-
00
22.75
Gas For Retail
401-807-
04
1,386.60
GAS FOR RETAIL
401-807-
04
495,876.11
3M
401-807-
04
243,547.95
HTI
401-807-
04
23,142.76
UNG
401-807-
04
1,737.45
BROWNTON
401-807-
04
14,003.42
Utility Expenses - Water/Waste
401-930-
08
2,986.54
HECK GEN 369(E) TOTAL
782,680.83
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
22/29
Amount
Fund: 2 GAS
05/01/2019
GEN
68945*
BIRCHDALE FIRE & SAFETY LLP
GROUNDS - OUTSIDE SERVICES
401-935-
08
28.86
05/01/2019
GEN
68947*4
BORDER STATES ELECTRIC SUPPLY
TEE, FEMALE THRD, 1/4", BM, CLASS 150
154-000-
00
7.82
NIPPLE, 1/2" X 3 1/2", BM, STD, SMLS,
154-000-
00
2.03
HECK GEN 68947 TOTAL
9.85
05/01/2019
GEN
68948*
CHAD KARG
Cip - Residential
401-916-
07
400.00
05/01/2019
GEN
68949*4
CINTAS CORPORATION 4470
UNIFORMS & LAUNDRY
401-880-
04
141.78
05/01/2019
GEN
68950*4
CITY OF HUTCHINSON
Utility Expenses - Water/Waste
401-930-
08
44.63
Utility Expenses - Water/Waste
401-930-
08
322.69
Utility Expenses - Water/Waste
401-930-
08
11.88
HECK GEN 68950 TOTAL
379.20
05/01/2019
GEN
68954*4
FASTENAL COMPANY
Other Equipment - Materials
402-895-
04
16.35
05/01/2019
GEN
68957*
GUARDIAN
DENTAL INSURANCE-20o GAS
242-000-
00
935.15
05/01/2019
GEN
68960*
HUTCHFIELD SERVICES INC
Grounds - Outside Services
401-935-
08
910.41
05/01/2019
GEN
68962
KRIS BETKER
Cip - Residential
401-916-
07
725.00
Cip - Residential
401-916-
07
725.00
HECK GEN 68962 TOTAL
1,450.00
05/01/2019
GEN
68963*
MARCO TECHNOLOGIES, LLC
OFFICE SUPPLIES
401-921-
08
120.22
05/01/2019
GEN
68964*
MARK MADSON
Cip - Residential
401-916-
07
325.00
05/01/2019
GEN
68965*
MEDICA
HEALTH INSURANCE 15% GAS
242-000-
00
9,564.39
05/01/2019
GEN
68967*
MN NCPERS
LIFE INSURANCE-PERA LIFE
242-000-
00
16.00
05/01/2019
GEN
68968
MYRON POLZIN
Training - Expense
401-870-
04
139.20
05/01/2019
GEN
68969*4
OXYGEN SERVICE COMPANY INC
Materials
401-874-
04
41.65
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
23/29
Amount
Fund: 2 GAS
05/01/2019
GEN
68971*4
PRO AUTO & TRANSMISSION REPAIR
VEHICLES - MATERIAL -GAS
402-895-
04
29.
66
05/01/2019
GEN
68974*
RELIANCE STANDARD LIFE -LIFE
LTD INSURANCE-20o GAS
242-000-
00
350.06
LIFE INSURANCE-20o GAS
242-000-
00
190.70
HECK GEN 68974 TOTAL
540.76
05/01/2019
GEN
68976*4
RUNNING'S SUPPLY INC
Materials
401-874-
04
20.38
Materials
401-874-
04
27.90
Other Equipment - Materials
402-895-
04
46.31
Materials
402-863-
05
11.15
Materials
402-863-
05
100.14
HECK GEN 68976 TOTAL
205.88
05/01/2019
GEN
689774
RYAN ELLENSON
Training - Expense
401-870-
04
232.00
Materials
401-856-
05
8.04
Materials
402-863-
05
76.88
HECK GEN 68977 TOTAL
316.92
05/01/2019
GEN
68979*4
SWAGELOK MINNESOTA
Bleed Valve P/N SS- BVM4-SH
402-863-
05
119.00
Bleed Valve P/N SS- BVM4-SH
402-863-
05
12.12
Female Branch Tee P/N SS-1210-3TTF
402-863-
05
99.30
Female Branch Tee P/N SS-1210-3TTF
402-863-
05
10.12
Female Branch Tee P/N SS-810-3-8TTF
402-863-
05
54.60
Female Branch Tee P/N SS-810-3-8TTF
402-863-
05
5.56
Reducing Bushing P/N SS-8-RE-4
402-863-
05
12.00
Reducing Bushing P/N SS-8-RE-4
402-863-
05
1.22
Reducing Bushing P/N SS-12-RE-4
402-863-
05
14.90
Reducing Bushing P/N SS-12-RE-4
402-863-
05
1.52
HECK GEN 68979 TOTAL
330.34
05/01/2019
GEN
68981*
VERIZON WIRELESS
TELEPHONE
401-921-
08
451.14
05/06/2019
GEN
375(E)*
TASC
Prepaid HBA
174-000-
00
1,152.75
05/10/2019
GEN
68983*4
ACE HARDWARE
Materials
401-874-
04
42.07
Materials
401-874-
04
21.37
Vehicles - Material
402-895-
04
8.11
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Payee Description
Account
Pag
Dept
24/29
Amount
Fund: 2 GAS
Misc Other - Materials
401-935-
08
71.89
HECK GEN 68983 TOTAL
143.44
05/10/2019
GEN
68984*
ADAM KATZENMEYER OR DUSTIN KRUSE
DEP REFUND/APPLIED
235-000-
00
61.25
05/10/2019
GEN
68988*4
BS&A SOFTWARE
collection - Materials
401-903-
06
3,456.00
IT ADMIN AND SUPPORT
401-921-
08
2,615.00
CHECK GEN 68988 TOTAL
6,071.00
05/10/2019
GEN
68989*
CARD SERVICES
BREAKROOM/RECOGNITION BANQUET
401-926-
08
107.50
05/10/2019
GEN
68992
CENTURYLINK
Utilities (Electric, Satellite
401-856-
05
55.96
05/10/2019
GEN
68993*4
CITY OF HUTCHINSON
VEHICLE/EQUIPMENT FUEL -GAS
401-880-
04
1,154.61
VEHICLES/EQUIPMENT FUEL-ADMIN 55/45
401-935-
08
78.16
HECK GEN 68993 TOTAL
1,232.77
05/10/2019
GEN
68997*
DUANE BENNETT
DEP REFUND/APPLIED
235-000-
00
61.25
05/10/2019
GEN
689984
ENERTECH
2O19 HUC Distribution
401-874-
04
1,814.87
2019 Brownton Distribution System
416-108-
04
304.68
2019 HUC Transmission
401-856-
05
592.99
HECK GEN 68998 TOTAL
2,712.54
05/10/2019
GEN
69000*
FIRST CHOICE FOOD & BEVERAGE
BREAKROOM/RECOGNITION BANQUET
401-926-
08
28.50
05/10/2019
GEN
69004*4
GOPHER STATE ONE -CALL INC
MATERIALS
401-874-
04
112.05
MATERIALS
401-856-
05
27.00
HECK GEN 69004 TOTAL
139.05
05/10/2019
GEN
69005
HUGHES NETWORK SYSTEMS
UTILITIES -NEW ULM COMMUNICATIONS
401-856-
05
106.
94
05/10/2019
GEN
69008*
HUTCHINSON LEADER
CIP - MARKETING
401-916-
07
120.72
05/10/2019
GEN
69009*4
HUTCHINSON WHOLESALE SUPPLY CO
Vehicles - Material
402-895-
04
26.67
05/10/2019
GEN
69014*
JORDAN VLIET OR JAYLENE VLIET
DEP REFUND/APPLIED
235-000-
00
78.75
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Fund: 2 GAS
05/10/2019 GEN 69015 KDUZ/KARP
05/10/2019 GEN 69016 KGM
05/10/2019 GEN 69018* KYLE SCHULTZ
05/10/2019 GEN 69023 MRC GLOBAL
05/10/2019 GEN 69025 NORTHERN BORDER PIPELINE CO
05/10/2019 GEN 69026* NUVERA
05/10/2019 GEN 69027* ONE CALL NOW
05/10/2019 GEN 69028*4 OXYGEN SERVICE COMPANY INC
05/10/2019 GEN 69031* PLUNKETTS
Account Dept
Public Awareness - Material
401-874-
04
SICK Lithium battery pack P/N 2064018
401-874-
04
DEP REFUND/APPLIED
235-000-
00
PLUG, BULL, SOLID HEX HEAD, MALE THRD,
154-000-
00
LINE - OUTSIDE SERVICES -INTERCONNECT
401-856-
05
TELEPHONE
401-921-
08
Collection - Materials
401-903-
06
Materials
401-874-
04
GROUNDS - OUTSIDE SERVICES
401-935-
08
GROUNDS - OUTSIDE SERVICES
401-935-
08
HECK GEN 69031 TOTAL
05/10/2019 GEN 69033 RHINO MARKING & PROTECTION SYSTEMS MARKER, RHINO DOME, 96" WITH POST, YELL 154-000- 00
MARKER, RHINO DOME, 96" WITH POST, YELL 154-000- 00
HECK GEN 69033 TOTAL
05/10/2019
GEN
69035*
SHRED RIGHT
05/10/2019
GEN
69036
ST JAMES PUBLISHING
05/10/2019
GEN
69037
SWAGELOK MINNESOTA
05/10/2019
GEN
69038
THE JOURNAL
05/10/2019
GEN
69039*
TOTAL FIRE PROTECTION
05/10/2019 GEN 69040*4 TOWMASTER INC
OFFICE SUPPLIES -SHREDDING SERVICES
401-921-
08
Public Awareness - Material
401-856-
05
3/4" tubing X 3/4" pipe SS-1210-1-12
401-874-
04
3/4" tubing X 1/2 pipe SS-1210-1-8
401-874-
04
HECK GEN 69037 TOTAL
Public Awareness - Material
401-856-
05
GROUNDS - OUTSIDE SERVICES
401-935-
08
GROUNDS - OUTSIDE SERVICES
401-935-
08
HECK GEN 69039 TOTAL
Vehicles - Material
402-895-
04
Pag 25/29
Amount
198.00
378.89
59.50
127.87
2,000.00
630.58
326.00
104.58
100.07
200.14
1,050.00
1,147.97
4.16
130.00
296.05
279.32
575.37
187.50
81.48
149.84
89.15
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Account Dept
Pag 26/29
Amount
Fund: 2 GAS
05/10/2019
GEN
69042*
UNITED PARCEL SERVICE
MAIL SERVICES - UPS, FEDEX
401-921-
08
46.23
05/10/2019
GEN
69043*4
WEST CENTRAL SANITATION INC
UTILITY EXPENSES - WATER/WASTE 45/55
401-930-
08
177.12
05/14/2019
GEN
370(E)*4
VISA
Meetings & Travel - Expense (S
401-870-
04
3,911.24
MEETINGS & TRAVEL - REIMBURSED FM J
401-870-
04
13.68
MATERIALPLUG ADPT-USE 22.07
401-874-
04
320.95
LINE - AM INOVATION REMOTE MONITORING
401-856-
05
88.00
MATERIAL-HDMI CABLE
401-856-
05
65.47
Grounds - Materials
401-935-
08
30.24
HECK GEN 370(E) TOTAL
4,429.58
05/17/2019
GEN
379(E)
PUBLIC ENERGY AUTHORITY OF
Gas For Retail
401-807-
04
137,770.92
3M
401-807-
04
101,062.50
HECK GEN 379(E) TOTAL
238,833.42
05/17/2019
GEN
69048*4
BORDER STATES ELECTRIC SUPPLY
FITTING, TRANSITION, 2" WE X 2" IDS,
154-000-
00
30.54
TAPE, TEFLON, 1/2" X 260", HIGH
154-000-
00
7.01
CAP, FEMALE THRD, 2", BM, CLASS 150
154-000-
00
27.31
BUSHING, HEX, ELK STL, 1/2" X 1/4"
154-000-
00
5.58
HECK GEN 69048 TOTAL
70.44
05/17/2019
GEN
69049
BROWN COUNTY RURAL ELECTRIC
Utilities (Electric, Satellite
401-856-
05
136.26
05/17/2019
GEN
69051
CHARLES UPEGUI
Services
107-380-
00
175.00
05/17/2019
GEN
69052*4
CINTAS CORPORATION 4470
UNIFORMS & LAUNDRY
401-880-
04
184.63
UNIFORMS & LAUNDRY
401-880-
04
187.68
HECK GEN 69052 TOTAL
372.31
05/17/2019
GEN
69053*4
CITY OF HUTCHINSON
IT ADMIN AND SUPPORT 250
401-921-
08
949.75
05/17/2019
GEN
69054*
CONWAY DEUTH & SCHMIESING PLLP
MISC SERVICES
401-923-
08
2, 400.00
05/17/2019
GEN
69056
CRYSTAL SCHEURING
Cip - Residential
401-916-
07
100.00
05/17/2019
GEN
69057*
DAVE DING
Cip - Residential
401-916-
07
400.00
05/22/2019 03:25 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 04/20/2019 - 05/22/2019
Description
Fund: 2 GAS
05/17/2019 GEN 69060 DEPT OF PUBLIC SAFETY -PIPELINE
05/17/2019
GEN
69062*
FIRST CHOICE FOOD & BEVERAGE
05/17/2019
GEN
69066*
INNOVATIVE OFFICE SOLUTIONS
05/17/2019
GEN
69068*
JACKEE BOETTCHER
05/17/2019
GEN
69069
LOCATORS & SUPPLIES INC
05/17/2019 GEN 690714 MCLEOD COOPERATVIE POWER ASSN
05/17/2019 GEN 69077* NICK LIEDER
05/17/2019 GEN 69078* PHIL GRAVES
05/17/2019 GEN 69079 PRAIRIELAND UTIL COORD COMM
05/17/2019 GEN 69080* PREMIUM WATERS INC
05/17/2019 GEN 69083 SPRINT
05/17/2019 GEN 69087* UIS/SOURCECORP
05/21/2019 GEN 371(E)* MINNESOTA REVENUE
Account Dept
Pag 27/29
Amount
REGULATORY EXPENSES
401-928-
08
1,218.18
REGULATORY EXPENSES
401-928-
08
977.88
HECK GEN 69060 TOTAL
2,196.06
BREAKROOM/RECOGNITION BANQUET
401-926-
08
61.00
OFFICE SUPPLIES
401-921-
08
30.08
Cip - Residential
401-916-
07
325.00
RAIN JACKET, 1503JFY, SIZE LARGE
401-880-
04
123.69
RAIN JACKET, 1503JFY, SIZE 2X-LARGE
401-880-
04
127. 95
HECK GEN 69069 TOTAL
251.64
MISC EXPENSE -GAS LINE PUMP
401-880-
04
64.04
UTILITIES (ELECTRIC, SATELLITE-MCLEOD
401-856-
05
38.48
UTILITIES (ELECTRIC, SATELLITE -PIPELINE
401-856-
05
39.37
HECK GEN 69071 TOTAL
141.89
Cip - Residential
401-916-
07
400.00
Cip - Residential
401-916-
07
400.00
Dues/Membership Expense
401-930-
08
200.00
OFFICE SUPPLIES -BOTTLED WATER
401-921-
08
6.97
Utilities (Electric, Satellite
401-856-
05
141.52
COLLECTION - MATERIALS
401-903-
06
164.85
State Sales Tax
242-000-
00
26,164.00
City Sales Tax
242-000-
00
1,885.00
HECK GEN 371(E) TOTAL
28,049.00
05/21/2019 GEN 373(E)* POINT & PAY METER READING - MATERIALS 401-903- 06 1,946.01
05/22/2019 03:25 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 04/20/2019 - 05/22/2019
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 2 GAS
05/22/2019
GEN
69091*
BORDER STATES ELECTRIC SUPPLY
ANODES 417, MAG, HIGH POTENTIAL, 10-412
154-000-
00
TAPE, BELOW GROUND USE, 41 WAX, 4" X 9
154-000-
00
PRIMER, TEMCOAT 3000, ANTICORROSION,
154-000-
00
HECK GEN 69091 TOTAL
05/22/2019
GEN
69092*
BROTHERS FIRE PROTECTION
GROUNDS - OUTSIDE SERVICES
401-935-
08
GROUNDS - OUTSIDE SERVICES
401-935-
08
HECK GEN 69092 TOTAL
05/22/2019
GEN
69094*4
CINTAS CORPORATION 4470
UNIFORMS & LAUNDRY
401-880-
04
05/22/2019
GEN
69095*4
CITY OF HUTCHINSON
Utility Expenses - Water/Waste
401-930-
08
Utility Expenses - Water/Waste
401-930-
08
Utility Expenses - Water/Waste
401-930-
08
HECK GEN 69095 TOTAL
05/22/2019
GEN
691014
GROEBNER & ASSOCIATES INC
Ashcroft A2X Pressure
107-387-
00
Ashcroft A2X Pressure
107-387-
00
10008888, EF Cap, 1/2"
401-874-
04
10008888, EF Cap, 1/2"
401-874-
04
HECK GEN 69101 TOTAL
05/22/2019
GEN
69102*4
HILLYARD/HUTCHINSON
Grounds - Materials
401-935-
08
05/22/2019
GEN
69103*
HUTCHINSON JAYCEES WATER CARNIVAL
CIP - MARKETING
401-916-
07
05/22/2019
GEN
69104*
INNOVATIVE OFFICE SOLUTIONS
OFFICE SUPPLIES
401-921-
08
05/22/2019
GEN
69115*
TASC
HEALTH INSURANCE-2018 HRA FORFEITURE
401-926-
08
05/22/2019
GEN
69117*
UIS/SOURCECORP
COLLECTION - MATERIALS
401-903-
06
COLLECTION - MATERIALS
401-903-
06
HECK GEN 69117 TOTAL
05/22/2019
GEN
69118
VERIZON WIRELESS
UTILITIES (ELECTRIC, SATELLITE-SCADA
401-856-
05
Total for fund 2 GAS
TOTAL - ALL FUNDS
Pag 28/29
Amount
150.06
513.60
95.92
759.58
78.75
151.63
322.69
44.63
2,282.76
1,141.36
263.03
126.28
250.00
23.83
3,155.87
301.24
117.06
1,126,360.40
3,590,218.47
05/22/2019 03:25 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES Pag 29/29
User: JMartig CHECK DATE FROM 04/20/2019 - 05/22/2019
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept Amount
--INDICATES CHECK DISTRIBUTED TO MORE THAN ONE FUND
'#'-INDICATES CHECK DISTRIBUTED TO MORE THAN ONE DEPARTMENT
HUTCHINSON UTILITIES COMMISSION
COMBINED DIVISIONS
FINANCIAL REPORT FOR APRIL, 2019
2019
2018
Di
%Chng
2019
2018
Di
%Chng
Full YrBud
%of Bud
Combined Division
Customer Revenue
$
2,662,640
$ 2,739,024
$
(76,384)
(2.8%)
$ 13,199,355
$ 13,531,346
$ (331,991)
(2.5%)
$ 36,285,018
36.4%
Sales for Resale
$
171,304
$ 265,443
$
(94,139)
(35.5%)
$ 818,741
$ 926,721
$ (107,980)
(11.7%)
$ 2,951,500
27.7%
NU Transportation
$
82,635
$ 72,079
$
10,556
14.6%
$ 328,596
$ 286,495
$ 42,101
14.7%
$ 885,452
37.1%
Electric Division Transfer
$
54,982
$ 54,697
$
285
0.5%
$ 219,928
$ 218,789
$ 1,139
0.5%
$ 659,783
33.3%
Other Revenues
$
43,650
$ 41,234
$
2,416
5.9%
$ 181,495
$ 187,639
$ (6,144)
(3.3%)
$ 490,208
37.0%
Interest Income
$
40,052
$ 29,280
$
10,773
36.8%
$ 166,167
$ 105,474
$ 60,693
57.5%
$ 283,456
58.6%
TOTAL REVENUES
$
3,055,263
$ 3,201,756
$
(146,494)
(4.6%)
$ 14,914,282
$ 15,256,464
$ (342,182)
(2.2%)
$ 41,555,417
35.9%
Salaries & Benefits
$
477,172
$ 492,167
$
(14,995)
(3.05%)
$ 1,961,867
$ 1,994,440
$ (32,572)
(1.6%)
$ 6,252,888
31.4%
Purchased Commodities
$
1,405,497
$ 1,546,682
$
(141,185)
(9.1%)
$ 7,641,228
$ 7,569,690
$ 71,538
0.9%
$ 19,155,179
39.9%
Transmission
$
204,935
$ 150,115
$
54,820
36.5%
$ 818,570
$ 694,707
$ 123,864
17.8%
$ 3,380,000
24.2%
Generator Fuel/Chem.
$
8,521
$ 79,305
$
(70,783)
(89.3%)
$ 85,755
$ 243,552
$ (157,796)
(64.8%)
$ 1,139,850
7.5%
Depreciation
$
327,083
$ 325,667
$
1,417
0.4%
$ 1,308,333
$ 1,302,667
$ 5,667
0.4%
$ 3,925,000
33.3%
Transfers (Elect./City)
$
188,434
$ 158,986
$
29,448
18.5%
$ 753,736
$ 635,945
$ 117,791
18.5%
$ 2,261,207
33.3%
Operating Expense
$
199,616
$ 193,267
$
6,350
3.3%
$ 868,849
$ 649,259
$ 219,591
33.8%
$ 3,215,236
27.0%
Debt Interest
$
97,334
$ 103,551
$
(6,218)
(6.0%)
$ 389,335
$ 414,206
$ (24,870)
jLg%j
$ 1,168,007
33.3%
TOTAL EXPENSES
$
2,908,593
$ 3,049,739
$
(141,146)
(4.6%)
$ 13,827,675
$ 13,504,464
$ 323,211
2.4%
$ 40,497,367
34.1%
NET PROFIT/(LOSS)
$
146,670
$ 152,017
$
(5,347)
(3.5%)l
1,086,607
$ 1,752,000
$ (665,393)
(38.0%)
$ 1,058,050
102.7%
April
April
YTD
YTD
2019
2018
Change
2019
2018
Change
Gross Margin %
35.9%
36.0%
-0.1%
33.4%
37.2%
-3.8%
Operating Income Per Revenue $ (%)
6.2%
6.6%
-0.4%
8.3%
13.0%
-4.7%
Net Income Per Revenue $ (%):
4.8%
4.7%
0.1%
7.3%
11.5%
-4.2%
2019 HUC
Budget Target
4.2%
2.5%
HUTCHINSON UTILITIES COMMISSION
ELECTRIC DIVISION
FINANCIAL REPORT FOR APRIL, 2019
2019
2018
Pi .
Electric Division
Customer Revenue
$
1,897,286
$ 1,804,375
$ 92,911
Sales for Resale
$
171,304
$ 265,443
$ (94,139)
Other Revenues
$
18,840
$ 14,526
$ 4,314
Interest Income
$
21,420
$ 16,034
$ 5,386
TOTAL REVENUES
$
2,108,849
$ 2,100,377
$ 8,472
Salaries & Benefits
$
361,017
$ 387,431
$ (26415)
Purchased Power
$
987,070
$ 1,042,585
$ (55:516)
Transmission
$
204,935
$ 150,115
$ 54,820
Generator Fuel/Chem.
$
8,521
$ 79,305
$ (70,783)
Depreciation
$
241,667
$ 241,667
$
Transfers (Elect./City)
$
147,172
$ 128,224
$ 18,947
Operating Expense
$
154,074
$ 148,350
$ 5,724
Debt Interest
$
46,555
$ 47,376
$ (822)
TOTAL EXPENSES
$
2,151,010
$ 2,225,054
$ (74,043)
NET PROFIT/(LOSS)
$
(42,161)
$ (124,676)
$ 82,515
%Chna
2019
2018
Di
%Chna
Full YrBud
%of Bud
5.1%
$ 7,898,770
$
7,791,380
$ 107,390
1.4%
$ 26,118,530
30.2%
(35.5%)
$ 818,741
$
926,721
$ (107,980)
(11.7%)
$ 2,951,500
27.7%
29.7%
$ 74,050
$
65,245
$ 8,805
13.59/c
$ 203500
36.4%
33.6%
$ 89,042
$
58,313
$ 30,729
52.7%
$ 158:456
56.2%
0.4%
$ 8,880,603
$
8,841,659
$ 38,944
0.4%
$ 29,431,986
30.2%
(6.8%)I $ 1,489,756 $ 1,554,722 $ (64,966) (4.2%)I $ 4,541,091
(5.3%) $ 4,554,729 $ 4,606,367 $ (51,638) (1.1%) $ 13,640,000
36.5%
$ 818,570
$
694,707
$ 123,864
17.8%
$ 3,380,000
(89.3%)
$ 85,755
$
243,552
$ (157,796)
(64.8%)
$ 1,139,850
0.0%
$ 966,667
$
966,667
$ -
0.0%
$ 2,900,000
14.8%
$ 588,687
$
512,898
$ 75,790
14.8%
$ 1,766,062
3.9%
$ 620,971
$
448,483
$ 172,488
38.5%
$ 2,173,291
(1.7%)
$ 186,219
$
189,506
$ (3,287)
1.7%
$ 558,657
$ 30,098,951
(3.3%)
$ 9,311,355 $ 9,216,900 $ 94,455 1.0%
32.8%
33.4%
24.2%
7.5%
33.3%
33.3%
28.6%
33.3%
30.9%
(66.2%) $ (430,753) $ (375,241) $ (55,511) 14.8% $ (666,965) 64.6%
2019 2018 Di % Chna 1 2019
33.3% of Year Comp.
2018 Di . % Chna Full Yr Bud % of Bud
Electric Division
Residential
3,499,068
3,431,602
67,466
1.97%
15,880,995
15,445,479
435,516
2.82%
50,327,925
31.6%
All Electric
177,589
201,258
(23,669)
(11.76%)
1,183,418
1,148,966
34,452
3.00%
2,504,213
47.3%
Small General
1,422,183
1,390,709
31,474
2.26%
6,298,663
6,080,797
217,866
3.58%
17,687,385
35.6%
Large General
6,449,580
5,482,460
967,120
17.64%
25,683,960
23,380,420
2,303,540
9.85%
77,713,164
33.0%
Industrial
9,718,000
10,376,000
(658,000)
(6.34%)l
37,243,000
40,609,000
(3,366,000)
(8.29%)
135,502,800
27.5%
Total KWH Sold
21,266,420
20,882,029
384,391
1.84%
86,290,036
86,664,662
(374,626)
(0.43%)
283,735,487
30.4%
April
April
YTD
YTD
2019
HUC
2019
2018
Change
2019
2018
Change
Budget
Target
Gross Margin °%
28 8°%
27 8°%
0.9%
24.6%
26.6%
-1.9%
25.3%
Operating Income Per Revenue $ (%)
-0.8%
-4.4%
3.5%
-3.9%
-2.8%
-1.1%
-0.9%
0%-5%
Net Income Per Revenue $ (%):
-2.0%
-5.9%
3.9%
-4.9%
-4.2%
-0.6%
-2.3%
0%-5%
Customer Revenue per KWH:
$0.0892
$0.0864
$0.0028
$0.0911
$0.0895
$0.0016
$0.0915
$0.0915
Total Power Supply Exp. per KWH:
$0.0699
$0.0721
-$0.0022
$0.0767
$0.0744
$0.0023
$0.0771
Electric Divison Net Loss decreased by $74,043 mostly due to a decrease in overall expenses especially in generation and purchased power. Salaries
continue to be lower on the electric side due to a portion of system control being apportioned to the gas department.
Sales for Resale of $171,304 consisted of $4,150 in market sales, $36,400 in the monthly tolling fee from Transalta, $14,754 in Transalta energy sales,
and $116,000 in capacity sales to SMMPA. April 2018 Sales for Resale of $265,443 consisted of $30,816 in market sales, $35,600 in monthly tolling
fees from Transalta, $103,027 in Transalta energy sales, and $96,000 in capacity sales to SMMPA. April 2017 Sales for Resale of $103,019 consisted
of $2,119 in market sales, $34,400 in Transalta tolling fees, $0 in Transalta energy sales, and capacity sales to SMMPA for $66,500.
Overall Purchased Power decreased by $55,516. MRES purchases decreased by $36,495 and market purchases/MISO costs decreased by $19,021.
April power cost adjustment was $.00496/kwhr bringing in an additional $105,517 in revenue for the month and $560,674 YTD.
Last year's power cost adjustment for April 2018 generated $47,064 in additional revenue for the month and $465,964 YTD.
HUTCHINSON UTILITIES COMMISSION
GAS DIVISION
FINANCIAL REPORT FOR APRIL, 2019
V' r .33.3�6 0 __ea Cam
II �� � ��������III'i�'iiil����lllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllllll'�'������������������0�111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111111' � � �������Illl��i �ii'���������0�111111111111111111111111111111111111111 � ,
2019
2018
Di
%Chng
2019
2018
Di
%Chng
Full YrBud
%of Bud
Gas Division
Customer Revenue
$
765,354
$ 934,649
$ (169,295)
(18.1%)
$ 5,300,585
$ 5,739,966
$ (439,381)
(7.7%)
$ 10,166,488
52.1%
Transportation
$
82,635
$ 72,079
$ 10,556
14.6%
$ 328,596
$ 286,495
$ 42,101
14.7%
$ 885,452
37.1%
Electric Div. Transfer
$
54,982
$ 54,697
$ 285
0.5%
$ 219,928
$ 218,789
$ 1,139
0.5%
$ 659,783
33.3%
Other Revenues
$
24,810
$ 26,708
$ (1,898)
(7.1%)
$ 107,445
$ 122,394
$ (14,949)
(12.2%)
$ 286,708
37.5%
Interest Income
$
18,632
$ 13,246
$ 5,386
40.7%
$ 77,125
$ 47,161
$ 29,964
63.5%
$ 125,000
61.7%
TOTAL REVENUES
$
946,413
$ 1,101,379
$ (154,966)
(14.1%)
$ 6,033,679
$ 6,414,805
$ (381,126)
(5.9%)
$ 12,123,431
49.8%
Salaries & Benefits
$
116,156
$ 104,736
$ 11,419
10.9%
$ 472,111
$ 439,718
$ 32,393
7.4%
$ 1,711,797
27.6%
Purchased Gas
$
418,427
$ 504,096
$ (85,669)
(17.0%)
$ 3,086,499
$ 2,963,323
$ 123,176
4.2%
$ 5,515,179
56.0%
Operating Expense
$
45,542
$ 44,916
$ 625
1.4%
$ 247,878
$ 200,776
$ 47,102
23.5%
$ 1,041,945
23.8%
Depreciation
$
85,417
$ 84,000
$ 1,417
1.7%
$ 341,667
$ 336,000
$ 5,667
1.7%
$ 1,025,000
33.3%
Transfers (City)
$
41,262
$ 30,762
$ 10,500
34.1%
$ 165,048
$ 123,047
$ 42,001
34.1%
$ 495,145
33.3%
Debt Interest
$
50,779
$ 56,175
$ (5,396)
0.0%
$ 203,117
$ 224,700
$ (21,583)
ja.6%
$ 609,350
33.3%
TOTAL EXPENSES
$
757,583
$ 824,686
$ (67,103)
(8.1%)
$ 4,516,319
$ 4,287,564
$ 228,755
5.3%
$ 10,398,416
43.4%
NET PROFIT/(LOSS)
$
188,831
$ 276,693
$ (87,862)
(31.8%)l
$ 1,517,360
$ 2,127,241
$ (609,881)
(28.7%)
$ 1,725,015
88.0%
��rr�� ��' �jj
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pp NN QQQQQQQQ
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o
33. �6 o Year Comp. 3
f:
2019
2018
Di
%Chng
2019
2018
Di
%Chng
Full YrBud
%of Bud
Gas Division
Residential
33,320,832
44,070,013
(10,749,181)
(24.39%)
258,760,708
254,462,071
4,298,637
1.69%
421,716,000
61.4%
Commercial
24,659,973
33,023,123
(8,363,150)
(25.33%)
185,016,789
189,663,105
(4,646,316)
(2.45%)
330,746,000
55.9%
Industrial
66,307,737
79,795,351
(13,487,614)
(16.909/,)
365,108,704
377,402,749
(12,294,045)
(3.26%)l
822,478,000
44.4%
Total CF Sold
124,288,542
156,888,487
(32,599,945)
(20.78%)l
808,886,201
821,527,925
(12,641,724)
(1.54%)l
1,574,940,000
51.4%
April
April
YTD
YTD
2019
HUC
2019
2018
Change
2019
2018
Change
Budget
Target
Gross Margin %
52.3%
52.0%
0.2%
46.4%
52.1%
-5.7%
51.5%
I!!!!!!!!!!!!
Operating Income Per Revenue $ (%)
22.3%
28.0%
-5.7%
26.6%
35.2%
-8.6%
16.9%
Net Income Per Revenue $ (%):
20.9%
26.1%
-5.2%
25.9%
34.1%
-8.1%
14.7%
IIIIIIIIIIIIIIIIIIIII
Contracted Customer Rev. per CF:
$0.0038
$0.0038
$0.0000
$0.0042
$0.0041
$0.0001
$0.0038
IIIIIIIIIIIIIIIIIIIII
Customer Revenue per CF:
$0.0084
$0.0081
$0.0003
$0.0083
$0.0092
-$0.0010
$0.0090
$0.0090
Total Power Supply Exp. per CF:
$0.0035
$0.0033
$0.0002
$0.0039
$0.0037
$0.0002
$0.0036
$0.0036
Natural Gas net income decreased by $87,862. This is mostly due to lower customer revenue with decreased usage. Purchased gas was also down to the
lower usage.
April's fuel cost credit adjustment was $1.4153/MCF totalling $89,910 for the month and $478,012 YTD.
Credits returned in April 2018 for a monthly and YTD total of $133,523.
Current Assets
UnrestrictedlUndesignated Cash
Cash
Petty Cash
Designated Cash
Capital Expenditures - Five Yr. CIP
Payment in Lieu of Taxes
Rate Stabilization - Electric
Rate Stabilization - Gas
Catastrophic Funds
Restricted Cash
Bond Interest Payment 2017
Bond Interest Payment 2012
Debt Service Reserve Funds
Total Current Assets
Receivables
Accounts (net of uncollectible allowances)
Interest
Total Receivables
Other Assets
Inventory
Prepaid Expenses
Sales Tax Receivable
Deferred Outflows - Electric
Deferred Outflows - Gas
Total Other Assets
Total Current Assets
Capital Assets
Land & Land Rights
Depreciable Capital Assets
Accumulated Depreciation
Construction - Work in Progress
Total Net Capital Assets
Total Assets
HUTCHINSON UTILITIES COMMISSION
BALANCE SHEET - CONSOLIDATED
APRIL 30, 2019
Electric Gas Total
Division Division 2019
7,719,056.38 9,403,589.69 17,122,646.07
680.00 170.00 850.00
2,750,000.00 700,000.00 3,450,000.00
1,106,279.00 495,145.00 1,601,424.00
372,736.68 - 372,736.68
- 651,306.61 651,306.61
400,000.00 100,000.00 500,000.00
Total Net Change
2018 Total (YTD)
24,745,371.50 (7,622,725.43)
850.00 -
3,450,000.00
1,251,469.00 349,955.00
314, 539.41 58,197.27
651,306.61 -
500,000.00 -
993,190.06
-
993,190.06
901,197.03
91,993.03
-
821,262.50
821,262.50
820,458.31
804.19
522,335.64
2,188,694.02
2,711,029.66
2,711,029.66
-
13,864,277.76
14,360,167.82
28,224,445.58
35,346,221.52
(7,121,775.94)
1,983,285.90
1,004,498.24
2,987,784.14
3,074,645.99
(86,861.85)
23,632.29
23,632.29
47,264.58
38,078.98
9,185.60
2,006,918.19
1,028,130.53
3,035,048.72
3,112,724.97
(77,676.25)
1,212,571.98
460,633.28
1,673,205.26
1,596,142.68
77,062.58
78,331.64
23,037.84
101,369.48
121,716.42
(20,346.94)
40,413.56
-
40,413.56
40,111.89
301.67
494,053.00
-
494,053.00
752,887.00
(258,834.00)
-
164,685.00
164,685.00
250,962.00
(86,277.00)
1,825,370.18
648,356.12
2,473,726.30
2,761,819.99
(288,093.69)
17,696,566.13
16,036,654.47
33,733,220.60
41,220,766.48
(7,487,545.88)
690,368.40
3,899,918.60
4,590,287.00
4,590,287.00
-
90,204,436.56
41,684,214.28
131,888,650.84
130,893,427.36
995,223.48
(56,138,050.90)
(16,428,072.86)
(72,566,123.76)
(68,838,245.21)
(3,727,878.55)
15,320,754.85
61,076.05
15,381,830.90
3,927,365.21
11,454,465.69
50,077,508.91
29,217,136.07
79,294,644.98
70,572,834.36
8,721,810.62
67,774,075.04
45,253,790.54
113,027,865.58
111,793,600.84
1,234,264.74
Current Liabilities
Current Portion of Long-term Debt
Bonds Payable
Bond Premium
Accounts Payable
Accrued Expenses
Accrued Interest
Accrued Payroll
Total Current Liabilities
Long -Term Liabilities
Noncurrent Portion of Long-term Debt
2017 Bonds
2012 Bonds
2003 Bonds
Bond Premium 2012
Pension Liability- Electric
Pension Liability - Electric OPEB
Pension Liability - Nat Gas
Pension Liability - Nat Gas OPEB
Accrued Vacation Payable
Accrued Severance
Deferred Outflows - Electric
Deferred Outflows - Nat Gas
Total Long -Term Liabilities
Net Position
Retained Earnings
Total Net Position
HUTCHINSON UTILITIES COMMISSION
BALANCE SHEET - CONSOLIDATED
APRIL 30, 2019
Electric Gas Total
Division Division 2019
625,000.00
2,824,351.36
232,773.44
103,070.60
3,785,195.40
16,050,000.00
621,741.84
2,700,290.00
72,192.00
366,391.02
77,139.06
804,800.00
20,692,553.92
1,370,000.00
185,608.32
703,752.69
253,895.83
28,661.42
2,541,918.26
12,530,000.00
1,221,921.07
900,097.00
24,064.00
111, 060.50
29,491.28
268,267.00
15,084,900.85
1,995,000.00
185,608.32
3,528,104.05
486,669.27
131,732.02
6,327,113.66
16,050,000.00
12,530,000.00
1,843,662.91
2,700,290.00
72,192.00
900,097.00
24,064.00
477,451.52
106,630.34
804,800.00
268,267.00
35,777,454.77
Total
2018
1,295,000.00
185,608.32
2,682,182.24
560,933.42
119, 743.18
4,843,467.16
16,675,000.00
13,900,000.00
2,062,728.19
3,083,440.00
1,027,813.00
426, 510.04
102, 320.61
794,370.00
264,790.00
38,336,971.84
Net Change
Total (YTD)
700,000.00
845,921.81
(74,264.15)
11, 988.84
1,483,646.50
(625,000.00)
(1,370,000.00)
(219,065.28)
(383,150.00)
72,192.00
(127,716.00)
24,064.00
50,941.48
4,309.73
10,430.00
3,477.00
(2,559,517.07)
43,296,325.72 27,626,971.43 70,923,297.15 68,613,161.84 2,310,135.31
43,296,325.72 27,626,971.43 70,923,297.15 68,613,161.84 2,310,135.31
Total Liabilities and Net Position 67,774,075.04 45,253,790.54 113,027,865.58 111,793,600.84 1,234,264.74
Hutchinson Utilities Commission
Cash -Designations Report, Combined
4/30/2019
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
April 2019
March 2019
Position
Savings, Checking, Investments varies varies varies 28,224,445.58 28,692,348.55 (467,902.97)
Total Operating Funds 28,224,445.58 28,692,348.55 (467,902.97)
Debt Reserve Requirements Bond Covenants - sinking fund
Debt Reserve Requirements Bond Covenants -1 year Max. P & I
Total Restricted Funds
1,814,452.56 1,551,722.86 262,729.70
2,711,029.66 2,711,029.66 -
4,525,482.22 4,262,752.52 262,729.70
Operating Reserve
Min 60 days of 2019 Operating Bud.
6,086,812.00
6,086,812.00
Rate Stabalization Funds
1,024,043.29
1,024,043.29
PILOT Funds
Charter (Formula Only)
1,601,424.00
1,601,424.00
Catastrophic Funds
Risk Mitigation Amount
500,000.00
500,000.00
Capital Reserves
5 Year CIP ( 2019-2023 Fleet & Infrastructure Maintenance)
3,450,000.00
3,450,000.00
Total Designated Funds
12,662,279.29
12,662,279.29
YE
YE
YE
YE
YTD
HUC
2015
2016
2017
2018
2019
Target
Debt to Asset 32.4%
32.2%
40.2%
37.7%
37.3%
Current Ratio 2.52
3.06
3.36
3.93
4.51
RONA 1.31%
2.17%
1.82%
3.43%
1.07%
Notes/Graphs:
Change in Cash Balance (From 12131114 to 413012019)
Month End
Electric
Elec. Change
Natural Gas Gas Change
Total
Total Change
4/30/2019
13,864, 278
14, 360,168
28, 224,446
12/31/2017
23,213,245
(9,348,967)
10,702,689 3,657,479
33,915,934
(5,691,488)
12/31/2016
8,612,801
14,600,444
9,500,074 1,202,615
18,112,875
15,803,059
12/31/2015
6,170,790
2,442,011
9,037,373 462,701
15,208,163
2,904,712
12/31/2014
3,598,821
2,571,969
6,765,165 2,272,208
10,363,986
4,844,177
* 2017's Signifcant increase in cash balance is due to issuing bonds for the generator project.
Hutchinson Utilities Commission
Cash -Designations Report, Electric
4/30/2019
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
April 2019
March 2019
Position
Savings, Checking, Investments varies varies
Total HUC Operating Funds
Debt Restricted Requirements Bond Covenants - sinking fund
Debt Restricted Requirements Bond Covenants -1 year Max. P & I
Total Restricted Funds
varies 28,224,445.58 28,692,348.55 (467,902.97)
28,224,445.58 28,692,348.55 (467,902.97)
993,190.06 894,552.03 98,638.03
522,335.64 522,335.64 -
1,515,525.70 1,416,887.67 98,638.03
Operating Reserve
Min 60 days of 2019 Operating Bud.
4,532,992.00
4,532,992.00
Rate Stabalization Funds
$400K-$1.2K
372,736.68
372,736.68
PILOT Funds
Charter (Formula Only)
1,106,279.00
1,106,279.00
Catastrophic Funds
Risk Mitigation Amount
400,000.00
400,000.00
Capital Reserves
5 Year CIP ( 2019-2023 Fleet & Infrastructure Maintenance)
2,750,000.00
2,750,000.00
Total Designated Funds
9,162,007.68
9,162,007.68
YE
YE
YE
YE
YTD
APPA Ratio
HUC
2015
2016
2017
2018
2019
SK-10K Cust.
Target
Debt to Asset Ratio (* w/Gen.) 13.9%
16.7%
35.4%
35.7%
36.1%
50.1%
Current Ratio 2.95
3.57
4.36
3.63
4.14
2.43
RONA -1.2%
-0.4%
-0.6%
-0.3%
-0.7%
NA
>0%
Hutchinson Utilities Commission
Cash -Designations Report, Gas
4/30/2019
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
April 2019
March 2019
Position
Savings, Checking, Investments varies varies varies 28,224,445.58 28,692,348.55 (467,902.97)
Total HUC Operating Funds 28,224,445.58 28,692,348.55 (467,902.97)
Debt Restricted Requirements
Debt Restricted Requirements
Total Restricted Funds
Operating Reserve
Rate Stabalization Funds
PILOT Funds
Catastrophic Funds
Capital Reserves
Total Designated Funds
Bond Covenants - sinking fund
Bond Covenants -1 year Max. P & I
Min 60 days of 2019 Operating Bud.
$200K-$600K
Charter (Formula Only)
Risk Mitigation Amount
5 Year CIP ( 2019-2023 Fleet & Infrastructure Maintenance)
821,262.50 657,170.83 164,091.67
2,188,694.02 2,188,694.02 -
3,009,956.52 2,845,864.85 164,091.67
1,553,820.00
1,553,820.00
651, 306.61
651, 306.61
495,145.00
495,145.00
100, 000.00
100, 000.00
700,000.00
700,000.00
3, 500, 271.61
3, 500, 271.61
YE
YE
YE
YE
YTD
HUC
2015
2016
2017
2018
2019
APGA Ratio
Target
Debt to Asset 55.0%
51.2%
47.6%
40.7%
39.0%
TBD
Current Ratio 2.17
2.59
2.74
4.33
5.06
TBD
RONA 4.7%
5.6%
5.0%
8.3%
3.8%
TBD
HUTCHINSON UTILITIES COMMISSION
Investment Report
Forth, Month End,d Ap ril 30, 2019
Interest
C-at
Oate of
Oate of
Par
C-at
Purchase
Unrealiz.d
Premium
Next
Institution Description
Rate
YTM
Purchase
Matunty
Value
Value
Amount
Gain/(Loss)
(Oi.... at)
Call Oat.
Wells Ferga Maney Market
1.640%
1.640%
NA
NA
-
111,W111
-
-
-
N/A
Wells Fart CID
2.550%
2.550%
08/21/2018
02/21 /2020
245000.00
245230.30
245000.00
23030
-
N/A
Wells Ferga CD's
11211
2.450%
2.450%
03/21/2019
03/21/2020
245000.00
245001.35
245000.00
1.35
-
N/A
Wells CID
2.100%
2.100%
02/121/12018
08/21/2019
245000.00
244711.75
245000.00
(20825)
-
N/A
Wells Ferga CID
2.500%
2.500C'
04/02/2019
04/05/2021
245000.00
245142.10
245000.00
142.10
-
N/A
Wells Fart CID
2.000%
2.000C'
04/01/2016
10/07/2021
245000.00
241801.65
245000.00
(3,112.35)
-
10/0112019
Wells Ferga CID
2.150%
2.150C'
O6/21/2017
M21/2022
245000.00
241391.15
245000.00
(3008.85)
-
05
5/2712019
Wells Ferga GD's
2.600%
2.600%
03/29/2019
03/29/2021
245000.00
245193.55
245000.00
19355
-
09/29/2019
Wells Ferga FHLMC-Step
2.000%
2.192%
M 912017
M/29/2022
275000.00
273550.75
215000.00
(1449.25)
-
M129/2019
Wells Ferga FH LMG-Step
2.000%
2.256%
10/21/2016
10/21/2023
1025000.00
1019100.15
1025000.00
(5299.25)
01/21/2019
Broker Total
25.9 %
3 015 000.00
3, 124 888.58
3 015 000.00
(13,184 65)
-
Cetera Investment Services Maney Market
0.200%
0.200%
N/A
N/A
-
4M196
-
-
-
N/A
Getera Investment Services U.S. Treasury Bill
2.120%
2.120%
02/19/2019
04/18/2019
-
-
-
-
-
Retleemetl
Cetera lmest-atServices U. S. Treasury Bill
2.230%
2.230%
02/19/2019
08/15/2019
1,615,600.00
1,604274.64
1598315.24
595940
(1128476)
N/A
Cetera lmest-at Services U.S. Tre as. Bill
2. 110%
2. 110%
12/M/2018
04/11/2019
-
-
-
-
-
Retleemetl
Cetera lmest-at Services Municipal Banns
2.995%
2.013%
03/01/2016
07/01/2020
250000.00
251110.00
260835.21
(9125.201)
10, 35.21
N/A
Gates lmest-at Services Municipal Banns
2.150%
1.881%
03/01/2016
08/01/2020
250000.00
251505.00
259820.00
(8,315.00)
982000
N/A
Cetera lmest-atServices Municipal Banns
2.163%
1.119%
03/08/2016
07/01/2019
500000.00
499580.00
500145.00
(6M5.00)
6,14500
N/A
Cetera lmest-at Services Municipal Banns
1.886%
1.886%
04/29/2016
04/15/2019
-
-
-
-
-
Retleemetl
Cetera lmest-at Services Municipal Banns
5.000%
1.610%
10/11/2016
01/01/2020
250000.00
255535.00
216500.00
(20,96500)
26500.00
N/A
Cetera lmest-at Services Municipal Banns
2.875%
2.121%
04/29/2016
09/01/2021
250000.00
2511620.00
259461.50
(7841.50)
946750
N/A
Cetera lmest-at Services Municipal Banns
3.751%
2.399%
04/29/2016
11/01/2021
250000.00
253882.50
261330.00
(1344150)
11330.00
N/A
Cetera lmest-at Services Municipal Banns
3.139%
2.190%
12/11/2017
09/01 /2021
300000.00
30116 0
3101116.00
(8,421.00)
10116.00
N/A
Getera Investment Services Municipal Banns
2055%
2208%
12/11/2011
03/01 /2022
300000.00
300,150.00
305314.92
(4564.92)
531492
N/A
Cetera lmest-at Services Municipal Bantls
2.300%
1.715%
12/11/2017
10/01/2020
100000.00
99914.00
101595.00
(1681.00)
159500
N/A
Cetera lmest-at Services Municipal Bantls
3.240%
3.240%
11/17/2017
02/15/2023
80000.00
70355.20
61, 33.48
72172
(10,38652)
N/A
Getera Investment Services Municipal Bantls
3.430%
3.430%
12/20/2018
12/15/2021
50000.00
45118.00
45155.00
62300
(4845.00)
N/A
Cetera lmest-at Services Municipal Bantls
3.000%
3.118%
12/20/2018
08/01/2022
50000.00
50480.5'
50311.67
10283
31101
N/A
Cetera lm estm at Services Municipal Bantls
3.633%
3.116%
12/20/2018
09/01/2022
250000.00
254115.00
257211.48
(3,102.48)
121748
N/A
Cetera lm estm at Services Municipal Bantls
3.650%
3.004%
12/20/2018
02/01/2023
250000.00
250502.50
250165.00
33750
6,16500
N/A
Cetera lm estm at Services Municipal Bantls
3.075%
3.236%
12/20/2018
M/01/2023
50000.00
49936.50
49146.15
19035
(25385)
N/A
Cetera lmest-at Services Municipal Bantls
2.500%
3.181%
12/20/2011
01101 /2023
35000.00
34518.25
34320.05
25820
(61995)
WA
Cetera lmest-atServices Municipal Bantls
3.400%
3.148%
12/20/2018
11/01/2023
125000.00
125011.25
126376.25
(10500)
131025
N/A
Cetera lmest-at Services Municipal Bantls
3.400%
3.148%
12/20/2018
11/01'2023
65000.00
6534105
65115.65
(38600)
71565
N/A
Gates lmest-at Services Municipal Bantls
2.854%
3.173%
12/20/2018
02M1 12 024
100000.00
99450.00
99605.96
(14990)
(39404)
N/A
Cetera lmest-at Services Municipal Bantls
2.911%
3.246%
12/20/2018
03/15'2024
250000.00
248112.50
248,143.99
14051
(1256.01)
N/A
Cetera lmest-at Services Municipal Bantls
3.922%
3.429%
12/20/2018
12M1/2024
250000.00
259925.00
257122.49
2,80251
7,12249
N/A
Cetera lmest-at Services Municipal Bantls
5.290%
2.724%
04/18/2019
M/01'2023
260000.00
281185.40
291059.90
(9274.M
31059.96
N/A
Cetera lmest-at Services Municipal Bantls
5.742%
3.658%
04/11/2019
08/01/2024
500000.00
542,185.00
555382.50
(13,19750)
55312.51
N/A
Cetera lm estm at Services Municipal Bantls
4.400%
3.221%
04/11/2019
07/01/2025
500000.00
525215.00
539101.11
(13886.11)
39101.11
07/01/2023
Cetera lm estm at Services Municipal Bantls
5.640%
3.001%
04/18/2019
08/15/2025
205000.00
162298.50
169731.95
(1439.45)
(3526205)
N/A
Cetera lm estm at Services Municipal Bantls
3.743%
2.740%
04/18/2019
09/15'2025
215000.00
222359.45
228334.53
(5975.08)
13334.53
N/A
Cetera l m estm at Services Municipal Bantls
4.250%
3.258%
04/11/2019
01/01/2026
500000.00
513060.00
529769.03
(1670103)
21, 69.03
N/A
Cetera lm estm at Services Municipal Bantls
6.690%
3.3M
04/18/2019
04/15/2026
60000.00
46380.6'
41545.20
(1,164.60)
(12'45480)
N/A
Cetera lmest-at Services Municipal Bantls
3.250%
2.903%
04/18/2019
08/01/2026
500000.00
490005.00
514790.69
(18,12569)
14790.69
N/A
Cetera lmest-at Services Municipal Bantls
3.332%
3.120%
04/18/2019
04/15/2027
500000.00
210110.00
501183.94
(1573.94)
178394
N/A
Broker Total
74.1%
8,860800.00
8,925026.80
9089122.95
(168,658.11)
228522.95
TOTAL INVESTMENTS
100.0% $
11,875,600.00 $
12,049,915.38 $
12,104,122.95 $
(181,842.76) $
228,522.95
ELECTRIC DIVISION
Operating Revenue
April 2019
CLASS
AMOUNT
KWH
/KWH
Street Lights
$0.55
10
$0.05500
Electric Residential Service
$370,184.39
3,499,068
$0.10580
All Electric Residential Service
$18,383.73
177,589
$0.10352
Electric Small General Service
$144,464.70
1,422,183
$0.10158
Electric Large General Service
$604,555.30
6,449,580
$0.09374
Electric Large Industrial Service
$759,697.08
9,718,000
$0.07817
Total
$1,897,285.75
21,266,430
$0.08922
Power Adjustment
$0.00496
Rate Without Power Adjustment
$0.08426
Electric Division Year -to -Date
M2019$A--t 02018$A--t ■2019KWH110 02018 KWH110
10,000,000
9,000,000
8,000,000
7,000,000
6,000,000
5,000,000
4,000,000
3,000,000
2,000,000
1,000,000
0
Street Lights Residential All Elec. Small Gen. Large Gen. Large For Resale Total
Resid. Srv. Srv. Industrial
NOTE: Sales for resale includes capacity sales, market sales and Transalta sales.
NATURAL GAS DIVISION
Operating Revenue
CLASS
AMOUNT
MCF
/$ MCF
Residential
$287,381.44
33,321
$8.62463
Commercial
$196,595.09
24,660
$7.97223
Large Industrial
$49,125.27
5,537
$8.87218
Large Industrial Contracts
$232,252.06
60,771
$3.82176
Total
$765,353.86
124,289
$6.15786
® 2019 $ Amount
10,000,000
9,000,000
8,000,000
7,000,000
6,000,000
5,000,000
4,000,000
3,000,000
2,000,000
1,000,000
0
Fuel Adjustment-$1.42000
Rate Without Fuel Adjustment $7.57786
Natural Gas Division Year -to -Date
0 2018 $ Amount ■ 2019 MCF 132018 MCF
Gas Residential Gas Commercial Large Industrial Large Industrial Total
Contracts
eReliability I Monthly Statistics
Page 1 of 5
Monthly Report - Hutchinson Utilities
Hutchinson Utilities Commission
Commission
Year Minimum duration Substation
2019 R -----
Month
04 - April
Annual Report?
0 Yes
No
Maximum duration
Top-level Cause
Unscheduled
Circuit
Remove Major Events?
https://reliability.publicpower.org/reports/monthly/utility/91/?year=2019&month=4&is an... 5/20/2019
eReliability I Monthly Statistics
Page 2 of 5
IEEE 1366 Statistics
Metric
Apr 2019
Apr 2018
SAIDI
1.4
None
SAIFI
0.07
None
CAIDI
20
None
ASAI
99.9966%
100%
Momentary Interruptions
0
0
Sustained Interruptions
1
0
Circuit Ranking - Worst Performing
Ranked by Outage Count
Circuit Substation
Ranked by Customer Interruptions
Circuit Substation
Ranked by Customer Minutes of Duration
Circuit Substation
Number of Outages
Customer Interruptions
Customer Minutes of Duration
https://reliability.publicpower.org/reports/monthly/utility/9l /?year=2019&month=4&is_an... 5/20/2019
eReliability I Monthly Statistics
Page 3 of 5
Historical Monthly SAID[ Chart
7
6
5
4
3
2
SAIDI values
0 ..
May Jun Jul Aug Sep Oct Nov Dec Jan Feb Mar Apr
2018 2018 2018 2018 2018 2018 2018 2018 2019 2019 2019 2019
Historical Monthly SAIFI Chart
0.08
0.07 Mon thly SAIFI
Avefage of monthh SAIFI values
0.06
0.05 p
0.04
0.03 w
0.02:
0.01
May Jun Jul Aug Sep Oct Nov Dec Jan Feb Mar Apr
2018 2018 2018 2018 2018 2018 2018 2018 2019 2019 2019 2019
https:Hreliability.publicpower.org/reports/monthly/utility/9l /?year=2019&month=4&is_an... 5/20/2019
eReliability I Monthly Statistics
Page 4 of 5
Causes Ranked by Count
Cause
Equipment Damage
Causes Ranked by Duration
Cause
Equipment Damage
Count
Duration
10,000
https://reliability.publicpower. org/reports/monthly/utility/9l /?year=2019&month=4&is_an... 5/20/2019
eReliability I Monthly Statistics
Page 5 of 5
Top 1 Outages for the Month
Customers
Address Interrupted
Plant 2 500
Customer Minutes of
Duration Interruption
20 10,000
Total Customers Affected for the Month:
Average Customers Affected per Outage:
Start Date
04/17/2019
500
500
https://reliability.publicpower. org/reports/monthly/utility/9 l /?year=2019&month=4&is_an... 5 /20/2019
Work
Order Description
11708 Units 6 & 7
11901 Plant 1 Heating/Air Conditioning
11902 East Engine Room Shop Floor Epoxy
11903 Plant 1 Cooling Tower Upgrade
11904 Unit 8 Controls Upgrade
11905 Lube Oil and Glycol Maintenance Plant 1
11906 Replacement Hoist in East Engine Room
Electric Production
Total
Total
Percentage
Materials
Labor
Budgeted
Actual
Difference Completed
$ 14,369,702.00
$ -
$
14,369,702.00
$ 14,794,589.93
$ 424,887.93 90%
10,000.00
2,000.00
$
12,000.00
-
$ (12,000.00)
35,000.00
$
35,000.00
$ (35,000.00)
80,000.00
$
80,000.00
4,406.60
$ (75,593.40)
270,000.00
35,000.00
$
305,000.00
2,220.00
$ (302,780.00)
40,000.00
10,000.00
$
50,000.00
4,961.68
$ (45,038.32)
30,000.00
$
30,000.00
-
$ (30,000.00)
$ 14,834,702.00 $ 47,000.00 $ 14,881,702.00 $ 14,806,178.21 $ (75,523.79)
Work
Order
Description
21901
Pole Repair or Replacement
21902
Station Equipment
21903
Step Up Transformer Unit 3
21904
Duct for Reconductor
21905
Century Court Apartments
21906
Highfield Apartments
21907
Feeder 15 and 16 Reconductor
21908
New Developments
21909
City Road Projects
21910
Century Court Apartments
21911
Transformer Replacements
21912
Transformer New Developments
21913
Highfield Apartments
21914
Meters
Electric Distribution
Total
Total
Materials
Labor
Budgeted
Actual
Difference
15,000.00
-
15,000.00
-
$
(15,000.00)
10,000.00
10,000.00
2,226.95
$
(7,773.05)
100,000.00
5,000.00
105,000.00
77.75
$
(104,922.25)
15,000.00
65,000.00
80,000.00
-
$
(80,000.00)
20,000.00
15,000.00
35,000.00
323.92
$
(34,676.08)
20,000.00
15,000.00
35,000.00
-
$
(35,000.00)
50,000.00
100,000.00
150,000.00
910.55
$
(149,089.45)
50,000.00
50,000.00
10,021.78
$
(39,978.22)
50,000.00
20,000.00
70,000.00
791.91
$
(69,208.09)
20,000.00
5,000.00
25,000.00
-
$
(25,000.00)
40,000.00
14,000.00
54,000.00
202.45
$
(53,797.55)
50,000.00
-
50,000.00
893.40
$
(49,106.60)
15,000.00
3,000.00
18,000.00
-
$
(18,000.00)
30,000.00
w.......... �......
-
........242,000.00:
30,000.00
-
$
.......
(30,000.00)
$ 485,000.00
$
$....727,000.00.$15/.......-8......,m,m.
44 71
$
(711,551.29)
Percentage
Completed
10%
5%
Administrative
Total Total
Work Order
Description
Budgeted Actual
51901
Replace #542 2008 Silverado
26,523.00
51902
Replace #573 2008 Super Duty Truck
60,000.00
51903
Replace #827 Tahoe
30,000.00
51904
Replace #651
38,192.00
51905
Replace Vehicle #623
_ 66,837.00
$ 221,552.00 $
Difference
26,523.00
60,000.00
30,000.00
38,192.00
66,837.00
- $ (221,552.00)
Percentage
Completed
Work
Order Description
61901 Replace Regulators Station 2
61902 Misc Developments and Improvements
61903 5Th Ave (Lynn to Ontario)
61904 SCD Trunk Storm
61905 South Grade Corridor (Dale to Hwy 15)
61906 Clinton Ave SW (Harrington to Merrill)
61907 South Grade Road (School Road to Dale)
61908 Trunk Hwy 7 Pedestrian Trail Improvements
61909 Century Court Apartments
61910 Waller Drive (Feed to HTI)
61911 Isolated Main Replacement (btn Barley and Glenda)
61912 Regulator Station Improvements
61913 Service Lines
61914 Meters, AMI, and all Fittings
61915 Residential Regulators
61916 Trunk Hwy 15 State Improvement Project
61917 Industrial Metering and Regulation
61918 Pressure Monitors- AMI System, Laser Gas Detector
Natural Gas
Total
Materials
Labor
Budgeted
$ 28,000.00 $
2,000.00
$ 30,000.00 $
100,000.00
25,000.00
125,000.00
300,000.00
20,000.00
320,000.00
50,000.00
5,500.00
$ 55,500.00
20,000.00
2,750.00
$ 22,750.00
5,000.00
2,000.00
$ 7,000.00
10,000.00
4,000.00
$ 14,000.00
5,000.00
2,000.00
$ 7,000.00
95,000.00
25,000.00
$ 120,000.00
20,000.00
3,000.00
$ 23,000.00
57,000.00
35,000.00
$ 92,000.00
95,000.00
4,000.00
$ 99,000.00
35,000.00
-
$ 35,000.00
225,000.00
5,000.00
$ 230,000.00
80,000.00
7,000.00
$ 87,000.00
20,000.00
3,500.00
$ 23,500.00
$ 1,145,000.00 $ 145,750.00 $ 1,290,750.00 $
Total
Actual
Difference
26,238.57
$ (3,761.43)
7,904.52
$ (117,095.48)
-
$ (320,000.00)
1,399.80
$ 1,399.80
$ (55,500.00)
$ (22,750.00)
$ (7,000.00)
$ (14,000.00)
1,330.98
$ (5,669.02)
$ (120,000.00)
$ (23,000.00)
15,480.37
$ (76,519.63)
4,892.74
$ (94,107.26)
-
$ (35,000.00)
1,423.62
$ (228,576.38)
2,365.43
$ (84,634.57)
^61,036.03
$ (23,500.00)
$ (1,229,713.97)-.
Percentage
Completed
50%
15%
HUTCHINSON UTILITIES COMMISSION
,c�,«
Board Action Form
'AlUTlt
Agenda Item: Review Policies
Jeremv Carter
Review Policies
BACKGROUND/EXPLANATION OFAGENDA ITEM:
es
As part of HUC's standard operating procedures, a continual policy review is practiced.
This month, the following policies were reviewed and no changes are recommended on
these policies at this time:
Section 5 of Exempt Handbook
Section 5 of Non -Exempt Handbook
BOARD ACTION REQUESTED:
None
EXEMPT
SECTION 5 — EMPLOYEE BENEFITS
VACATION
Exempt employees shall accrue paid vacation on the employment anniversary date according
to the following schedule:
Number of Years
Employed
Vacation
20 hours
1
40 hours
2-6
80 hours
7-10
120 hours
11
128 hours
12
136 hours
13
144 hours
14
152 hours
15
160 hours
16
168 hours
17
176 hours
18
184 hours
19
192 hours
20 and up
200 hours
Vacation may be used after completion of the probationary period. Employees must receive prior
approval of their vacation requests from their Director, Manager or Supervisor.
A vacation request for more than one day must be submitted in person at least two workdays in
advance. (For example, if an employee is scheduled to work Wednesday, Thursday, Monday and
the employee wants to take Monday afternoon as vacation, the employee must submit a request in
person by Wednesday afternoon.)
An employee may carry over up to a maximum of one time their annual accrual of vacation into
the next vacation year. Vacation year is defined as service anniversary to service anniversary. Each
non -probationary full-time employee must use at least 40 hours of vacation leave each year. New
employees who only receive 40 hours of vacation per year must use at least 20 hours of vacation
leave each year.
Employees who are on vacation and experience a disabling accident or illness may use sick leave
instead of vacation upon providing their Director, Manager or Supervisor appropriate proof of the
accident or illness.
HOLIDAYS
Employees are eligible for holiday pay effective immediately upon hire. HUC shall observe the
following days as holidays:
• New Year's Day
• Martin Luther King Day
• President's Day
• Memorial Day
• Fourth of July
• Labor Day
• Veteran's Day
• Thanksgiving Day
• Christmas Day
If the holiday falls on a Sunday, the following Monday shall be the holiday. If the holiday falls on
a Saturday, the preceding Friday shall be the holiday.
If Christmas falls on a Tuesday, Wednesday, Thursday or Friday, then the preceding day shall be
a Christmas Eve Day holiday. Additionally, there shall be two (2) floating holidays determined by
mutual agreement between the employee and Director, Manager or Supervisor. If Christmas falls
on a Saturday, Sunday, or Monday, there shall be no Christmas Eve Day holiday but there shall be
three (3) floating holidays determined by mutual agreement between the employee and Director,
Manager or Supervisor. Floating holidays must be used by the end of each calendar year.
Employees shall be paid eight (8) hours straight time for each of the holidays.
Temporary employees who work on a holiday shall be paid at the employee's regular base pay rate
and shall not receive holiday pay for hours not worked.
LIFE INSURANCE
HUC provides group term life insurance with accidental death and dismemberment for all full-
time employees. HUC also offers voluntary term life insurance for all full-time employees.
Information on life insurance is available through human resources/payroll.
HEALTH/DENTAL INSURANCE
HUC provides an opportunity for employees to participate in a group health (HSA)/dental
insurance program. Employees are eligible for coverage the first of the month following hire date.
Contact human resources/payroll for information regarding benefits and participation levels.
Contact the human resources/payroll for information about continuation of health/dental insurance
coverage after leaving.
For those employees who participate in the high deductible family plan, HUC will contribute
$4,000 annually into the HSA and for those employees participating in the high deductible single
plan, HUC will contribute $2,000 annually into the HSA. Contributions are made in bi-weekly
installments.
Based on Internal Revenue Service rules, an employee must be an eligible individual to qualify for
an HSA including generally having no other health coverage that is not a high deductible health
plan.
Veterans of the United States armed forces who receive medical benefits from the Veterans
Administration (VA) or employees who are enrolled in TRICARE, which is health insurance
available to active duty and retired service and reserve members and their dependents, are therefore
not eligible to qualify for an HSA, but are eligible to participate in the high deductible health plan.
A veteran who receives medical benefits from the Veterans Administration (VA) or employees
who are enrolled in TRICARE who participate in the high deductible family plan, but who is/are
not eligible to qualify for an HSA, shall receive $4,000 annually in two equal installments in lieu
of said monies being deposited in an HSA.
A veteran who receives medical benefits from the Veterans Administration (VA) or employees
who are enrolled in TRICARE who participates in the high deductible single plan, but who is/are
not eligible to qualify for an HSA, shall receive $2,000 annually in two equal installments in lieu
of said monies being deposited in an HSA.
DISABILITY INSURANCE
HUC pays the entire premium of a long-term disability insurance policy for all employees.
Information on disability insurance is available through human resources/payroll.
FAMILY AND MEDICAL LEAVE (FMLA)
Pursuant to the Family and Medical Leave Act, employees are allowed up to 12 weeks unpaid
leave during a 12-month period for the following reasons:
• Birth or care of the newborn child of the employee
• Placement with the employee of a child for adoption or foster care
• Serious health condition of the employee that makes the employee unable to perform the
functions of the position of such employee
• In order to care for an employee's dependent child, spouse, or parent suffering from a
serious health condition
• Any qualifying exigency arising out of the fact that the spouse, or a son, daughter or parent
of the employee is on active duty, or has been notified of an impending call or order to
active duty) in the Armed Forces in support of a contingency operation.
Up to twenty-six (26) weeks of protected leave per twelve (12) month period shall be granted to
all eligible employees for the following reasons:
• An eligible employee who is the spouse, son, daughter, parent, or next of kin of a covered
service member shall be entitled to a total of 26 workweeks of leave during a twelve (12)
month period to care for the service member. The leave described in this paragraph shall
only be available during a single twelve (12) month period.
• A covered service member is defined as a member of the Armed Forces, including a
member of the National Guard or Reserves, who is undergoing medical treatment,
recuperation, or therapy, is otherwise in outpatient status, or is otherwise on the temporary
disability retired list, for a serious injury or illness. The term "serious injury or illness", in
the case of a member of the Armed Forces, including a member of the National Guard or
Reserves, means an injury or illness incurred by the member in the line of duty on active
duty in the Armed Forces that may render the member medically unfit to perform the duties
of the member's office, grade, rank, or rating.
Spouses employed by HUC, both in regular positions, are jointly entitled to a combined total of
12 work weeks of family leave for the birth and care of a newborn child, for placement of a child
for adoption or foster care, and to care for a parent who has a serious health condition. Spouses are
entitled to a combined total of 26 weeks during a single twelve (12) month period to care for an
eligible service member.
During the single twelve (12) month period, an eligible employee shall be entitled to a combined
total of 26 work weeks of total leave allowed under the FMLA.
To be eligible for FMLA, the employee must have worked at least one year for HUC and worked
at least 1,040 hours during the previous 12 months.
In order to receive FMLA, the employee must request the leave by providing human
resources/payroll 30-day's notice prior to the requested starting date of the leave. If 30-day's notice
is not possible, the employee must provide as much notice as possible. Human resources/payroll
shall provide the employee a "Medical Certificate" which must be completed by the employee's
physician and returned to human resources/payroll. Pursuant to the FMLA, HUC may request a
second opinion from another medical provider at HUC's expense. If the second opinion is different
from the employee's physician's opinion, HUC shall seek a third opinion at HUC's expense. The
third opinion shall prevail. HUC may require that a request for leave related to active duty or call
to active duty be supported by a certification issued by the health care provider of the service
member being cared for by the employee.
The 12 weeks of available FMLA extend over 12 months. To determine whether the employee has
any FMLA remaining, human resources/payroll shall review the 12 months preceding the request
for FMLA. An employee may use the 12 weeks of FMLA intermittently over the 12-month period
if necessary and may take the leave in increments of one hour or more.
HUC may require a medical certificate attesting to the employee's fitness for duty prior to return
to work. The fitness for duty report must be based on the particular health condition(s) for which
the leave was approved and must address whether the employee can perform the essential functions
of his/her regular position.
An employee on FMLA for serious illness of the employee, the employee's spouse, dependent
child or parent shall be required to use vacation or sick leave concurrent with the FMLA.
HUC shall continue to pay its contribution toward health and dental insurance while an employee
is on FMLA. The employee shall be required to continue payment of the employee portion of the
premiums during the leave. If the employee fails to pay their portion of the premiums, HUC may
terminate their insurance coverage subject to COBRA requirements. At the end of FMLA, an
employee shall be returned to his/her former position or an equivalent position.
For more information on FMLA, see human resources/payroll.
PREGNANCY AND PARENTING LEAVE
Pursuant to the Minnesota Pregnancy and Parenting Act, employees who have worked for HUC
for at least twelve (12) months and average at least twenty (20) hours per week are entitled to take
an unpaid leave of absence. Female employees are eligible for prenatal care, or incapacity due to
pregnancy, childbirth, or related health conditions as well as a biological or adoptive parent in
conjunction with the birth or adoption of a child are eligible for up to twelve (12) weeks of unpaid
leave and must begin within twelve (12) months of the birth or adoption of the child. In the case
where the child must remain in the hospital longer than the mother, the leave must begin within
twelve (12) months after the child leaves the hospital.
Eligible employees must provide thirty (30) days written notice to human resources/payroll of their
desire to take parental leave. Employees are required to use their paid leave banks, such as sick
leave or vacation.
If the employee is also eligible for FMLA, the pregnancy and parenting leave under this section
and FMLA shall run concurrently.
The employee is entitled to return to work in the same position and at the same rate of pay the
employee was receiving prior to commencement of the leave. Group insurance coverage will
remain available while the employee is on leave pursuant to the Pregnancy and Parenting Leave
Act, but the employee will be responsible for the entire premium unless otherwise provided in this
policy (i.e., where leave is also FMLA qualifying). For employees on an FMLA absence as well,
the employer contributions toward insurance benefits will continue during the FMLA leave
absence.
REASONABLE UNPAID WORK TIME FOR NURSING MOTHERS
Nursing mothers will be provided reasonable unpaid break time to express milk for nursing her
child for one year after the child's birth. HUC will provide a room (other than a bathroom) as
close as possible to the employee's work area, that is shielded from view and free from intrusion
from coworkers and the public and includes access to an electrical outlet, where the nursing mother
can express milk in private.
REASONABLE ACCOMMODATIONS TO AN EMPLOYEE FOR HEALTH
CONDITIONS RELATING TO PREGNANCY
HUC will attempt to provide a female employee who requests reasonable accommodation with
the following for her health conditions related to her pregnancy or childbirth.
• More frequent restroom, food and water breaks;
• Seating;
• Limits on lifting over 20 pounds and/or
Temporary transfer to a less strenuous or hazardous position, should one be available.
Unless such accommodations impose an undue hardship, HUC will engage in an interactive
process with respect to an employee's request for a reasonable accommodation.
SICK LEAVE
1. Sick leave shall be granted to all probationary and non -probationary employees at a rate of
eight (8) hours per month.
2. Sick leave may be granted for absence from duty due to personal illness, or for the illness of
an immediate family (See Definitions) member on the same terms the employee is able to use
sick leave benefits for their own illness, including appointments for necessary medical, dental
or eye care, legal quarantine, or brief emergency situation (not to exceed one day) in the
immediate family (See Definitions).
3. Sick leave cannot be accumulated beyond 720 hours. After the accumulation of 720 hours, a
payback of one-third of the amount over 720 hours shall be made annually on or about February
1.
4. Upon retirement or death before retirement, a payback of one-third of the amount over 240
hours shall be made. If the employee resigns or is dismissed, the above payment shall not be
made. In case of death during employment, the unused sick leave shall be paid to his/her estate
on the same percentage as above.
5. Requests for sick leave consideration in case of other emergency situations may be brought to
the Director, Manager or Supervisor.
6. A maximum of five days funeral leave may be allowed when necessary in the case of death in
the immediate family (See Definitions).
7. If an employee becomes ill and must stay home from work, he/she shall notify their Director,
Manager or Supervisor before their work day begins.
8. If an employee becomes ill during his/her regular work day, they shall notify their Director,
Manager or Supervisor that it is necessary to leave due to illness.
9. Employees may be required to submit a medical certificate for any sick leave, at the discretion
of the Director, Manager or Supervisor.
10. The use or claim of sick leave for apurpose not authorized may be cause for disciplinary action.
11. For the purpose of accumulating additional vacation or sick leave, an employee using earned
vacation or sick leave is considered to be in a paid or working status.
12. Employees that are injured while engaged in after hours' employment of others or while self
employed, shall not be covered under f UC's Sick Leave Policy, or Worker's Compensation
benefits.
13. An employee who is determined to be eligible for workers compensation benefits during
absence from duty shall receive such benefits pursuant to "Worker's Compensation" in the
Employee Handbook.
14. HUC shall comply with the Family and Medical Leave Act, the Minnesota Parental Leave Act
and the Americans with Disabilities Act.
15. Safety leave. Employees are authorized to use sick leave for reasonable absences for
themselves or immediate family (See Definitions) who are providing or receiving assistance
because they, or a relative, is a victim of sexual assault, domestic abuse, or stalking. Safety
leave for those listed, other than the employee and the employee's child, is limited to 160 hours
in any calendar year. After accrued sick leave has been exhausted, vacation leave may be used
upon approval of the General Manager, to the extent the employee is entitled to such leave.
SICKNACATION LEAVE DONATION
The HUC recognizes that a catastrophic illness and/or serious health condition of an employee or
immediate family member (spouse or dependent child) may deplete an employee's available paid
leave (sick/vacation/compensatory time). This policy is meant to provide employees with the
option of assisting fellow employees at such a time.
HUC employees having accrued sick or vacation leave shall be allowed to donate a portion of such
accrued leave to fellow employees experiencing a catastrophic illness and/or serious health
condition suffered by the employee, the employee's spouse, or the employee's dependent
child(ren). A catastrophic illness and/or serious health condition includes but is not limited to,
heart attack, stroke, organ transplant, or other life threatening illness or debilitating condition as
defined by a physician's diagnosis.
The donation of leave from one employee to another shall be subject to the following terms and
conditions.
1. An employee is only eligible to receive donated leave for time lost from normal work hours
due to a life threatening disease or condition as defined above.
2. An employee shall be eligible to receive donated leave only after the employee's accrued
sick, vacation, and compensatory time have been exhausted.
3. All requests to receive donated leave must be in writing to human resources/payroll and
must be accompanied by supporting medical data. No full time employee shall be allowed
to receive more than a total of twenty (20) work days or 160 hours of donated leave per
single major life threatening disease or condition unless requested and approved by the
General Manager. There is no limit on catastrophic events per year.
4. An employee may only use donated leave up to the time of eligibility for a long-term
disability benefit (if applicable), or for the maximum number of days allowed to be
donated, whichever occurs first.
5. A full time employee may donate no more than sixteen (16) hours of leave per calendar
year to a single fellow employee. This shall not be construed to prohibit donating sixteen
(16) hours per year to additional employees. Leave donation shall be calculated using time
and not an equivalent cash amount.
6. An employee who is donating paid leave must do so from the employee's accrued sick
and/or vacation leave balance. A written request to donate leave must be made to human
resources/payroll on forms designated by HUC for that purpose. All donations made shall
be kept confidential.
7. The General Manager shall have the right to deny use of donated leave or limit its use if it
is determined to be in the best interests of HUC.
Donated leave shall be subtracted from the donor's accumulated balance and added to the
requested employee as part of the payroll function. Donated time shall be processed and used by
the date of submission until the eligible amount of donated leave is reached. Contributions of leave
hours exceeding the eligible amount shall be returned to the donating employee, and shall not be
transferred. Donated hours shall be used in the order they are received.
TRAINING AND EDUCATION ASSISTANCE
HUC encourages its employees to seek individual and career development through job -related
training and education. HUC provides financial assistance for successful completion of qualifying
programs and courses. Tuition, registration fees and other course -related fees would be reimbursed
after successful completion of a course. To apply for education assistance, employees must submit
a request to their Director, Manager, or Supervisor no later than five working days prior to
registration. The Director, Manager or Supervisor and the General Manager must approve the
course, seminar, or program. Only courses that are job -related and provide potential for career
advancement with HUC are eligible for reimbursement.
The following criteria must be met:
The maximum amount of reimbursement will be $6,000 per calendar year. If coursework
or tuition exceeds this amount, then the Director or General Manager will approach the
Commission to request a waiver. To request a waiver, the coursework must be directly
related to the employee's position within the company, or if the degree the employee is
seeking is beneficial to the company; in other words, it would be difficult to hire someone
who already has that degree.
Reimbursement is contingent on receiving a "pass" or minimum grade of "C".
Employee must study on their own time. Use of HUC computers is allowed in accordance
with the IT policy.
An employee must remain employed at HUC for twenty-four (24) calendar months after
completion of a course, or must repay HUC all reimbursements received for the course.
WORKPLACE ACCOMMODATION
HUC shall make workplace accommodations in accordance with state and federal law. An
employee who believes he or she qualifies for a reasonable accommodation under the Americans
with Disabilities Act (ADA) shall submit a request for accommodations to the General Manager.
HUC shall engage in an interactive process with employees who request accommodation in order
to identify the specific physical and mental abilities and limitations as they relate to essential job
functions; barriers to the performance of essential job functions; and how these barriers could be
overcome with reasonable accommodation. The employee may be requested to provide written
documentation from a healthcare provider relating to the employee's medical condition and
request for accommodation. If an employee refuses to provide such written documentation and/or
sign an authorization allowing HUC to contact the healthcare provider, HUC will evaluate the
employee's request based on the information available to HUC. HUC shall, in the process of
evaluating potential accommodations, determine which, if any, potential accommodations present
an undue hardship to HUC or the department in which the employee works.
UNPAID EXTENDED LEAVE OF ABSENCE
The General Manager may grant an employee's request for an extended leave of absence without
pay. The unpaid leave of absence shall be a minimum length of one month and a maximum length
of six months. Employees on an extended leave of absence for one month or longer which is not
governed by the FMLA, are required to pay the full cost of any health, long-term disability or life
insurance premium during the leave of the absence. Employees on unpaid leave of absence shall
not earn vacation and sick leave.
No employee shall be granted a leave of absence in order to accept a different position with another
employer. Acceptance of a full-time position with another employer shall be deemed a resignation
of the employee's position with RUC.
FAMILY DEATH
Employees may take a leave of absence with pay in the event of a death in the employee's
immediate family. Time allowed with pay for exempt employees may not exceed five (5) days per
family member. The paid time off will not be deducted from the employee's paid leave banks.
If an employee is called to participate in the funeral services for the death of a person who is not a
member of the employee's immediate family, an employee will receive four hours paid leave of
absence.
EMERGENCY LEAVE
The General Manager may approve time off without pay to an employee who has no vacation or
compensatory time available, if in the General Manager's discretion, the employee is experiencing
an emergency requiring the employee's attention.
MILITARY LEAVE
HUC shall comply with Minnesota statutes relating to military leave.
JURY, WITNESS OR BOARD DUTY
A regular full-time and part-time employee called to jury duty will be granted paid leaves of
absence. Employees are required to notify their supervisor as soon as possible after receiving
notice to report for jury duty. Such employees will be required to turn over any compensation they
receive for jury duty, minus mileage reimbursement, to HUC in order to receive their regular wages
for the period. Time spent on jury duty will not be counted as time worked in computing overtime.
Employees excused or released from jury duty during their regular working hours will report to
their regular work duties as soon as reasonably possible or will take accrued vacation or
compensatory time to make up the difference.
Employees will be paid their regular wage to testify in court for HUC-related business or to serve
on a work -related board or committee which pays a per diem. Any compensation received for
court appearances (e.g. subpoena fees) or as meeting per diems arising out of or in connection with
HUC employment, minus mileage reimbursement, must be turned over to HUC.
VOLUNTEER FIRE OR RESCUE SQUAD DUTY
In the event of an HUC emergency, the General Manager reserves the right to retain essential
employees from Hutchinson volunteer fire or rescue squad duties or require employees to return
to their HUC duties and assist the operation of HUC.
HUC employees who are called out as members of the Hutchinson volunteer fire or rescue squad
while on duty with HUC will be paid up to four hours regular pay while on the emergency call.
SCHOOL CONFERENCE LEAVE
Any employee who has worked half-time or more may take unpaid leave for up to a total of
sixteen (16) hours during any 12-month period to attend school conferences or classroom
activities related to the employee's child (under 18 or under 20 and still attending secondary
school), provided the conference or school related activities cannot be scheduled during non -
work hours. When the leave cannot be scheduled during non -work hours and the need for the
leave is foreseeable, the employee must provide reasonable prior notice of the leave and make a
reasonable effort to schedule the leave so as not to disrupt unduly the operations of HUC.
Employees may choose to use vacation leave hours or compensatory time for this absence, but
are not required to do so.
BONE MARROW/ORGAN DONATION LEAVE
Employees working an average of 20 or more hours per week must be granted paid leave, not to
exceed 40 hours unless agreed to by HUC, to undergo medical procedures to donate bone marrow
or to donate an organ or partial organ. HUC may require a physician's verification of the purpose
and length of the leave requested. If there is a medical determination that the employee does not
qualify as a bone marrow or organ donor, the paid leave of absence granted to the employee prior
to that medical determination is not forfeited.
RETIREMENT PROGRAM
HUC is a member of the State Public Employees Retirement Association ("PERA") and also
participates in the federal FICA (Social Security) program. Full-time employees must become
members of PERA effective the date of employment. Both HUC and the employee contribute to
PERA. Information on PERA is available from Human Resources.
DEFERRED COMPENSATION
After completion of probationary period, HUC offers a 457 deferred compensation plan, which
allows employees to place a portion of their earnings through payroll deduction into a tax deferred
investment program. Taxes on money set aside are deferred until the time the money is withdrawn.
HUC does not contribute to this 457 deferred compensation plan. For enrollment information,
contact payroll.
PERSONAL USE OF UTILITY FACILITIES AND EQUIPMENT
No employee may use HUC facilities or equipment for personal use.
RECOGNITION POLICY - SERVICE AWARDS AND RETIREMENT GIFTS
Obiective
Service awards and retirement gifts are provided to recognize and reward employees for service
with the company. Awards are granted without regard to position or salary.
Scope of Policy
Full-time, active employees are eligible for a service award for every five (5) years of service
completed. The service awards may increase in value based on longevity, per the table listed in
Service Award Procedures below.
Service Credit
Service credit for service awards will count from the first day an individual is considered a full-
time employee of HUC and continue while the employee remains on full-time, active status. If an
individual has a break in service, their service credit may resume accumulating when they return
to full-time status, depending on the nature of the break.
Service Award Procedures
HUC will inform the individual employee of their eligibility for a service award. Eligible
employees may select a gift card in the amount noted on the table below. Employee will receive
a Certificate of Appreciation signed by the General Manager and presented to them at the
Recognition Banquet. Gift cards must be for personal, tangible property and may not be redeemed
for cash.
Amount
Years of Service
$50
5 Years
$100
10 Years
$125
15 Years
$150
20 Years
$175
25 Years
$200
30 Years
$250
35 Years
$300
40 Years
Retirement Recognition Procedures
Retirees have the option of a potluck luncheon in their honor. A gift from HUC valued at no
greater than $300 will be given to the retiree. The immediate supervisor will be responsible for
coordinating the purchase of the gift.
NON-EXEMPT
SECTION 5 — EMPLOYEE BENEFITS
VACATION
See Union Contract.
HOLIDAYS
Employees are eligible for holiday pay effective immediately upon hire. HUC shall observe the
following days as holidays:
• New Year's Day
• Martin Luther King Day
• President's Day
• Memorial Day
• Fourth of July
• Labor Day
• Veteran's Day
• Thanksgiving Day
• Christmas Day
If the holiday falls on a Sunday, the following Monday shall be the holiday. If the holiday falls on
a Saturday, the preceding Friday shall be the holiday.
If Christmas falls on a Tuesday, Wednesday, Thursday or Friday, then the preceding day shall be
a Christmas Eve Day holiday. Additionally, there shall be two (2) floating holidays determined by
mutual agreement between the employee and Director or Manager. If Christmas falls on a
Saturday, Sunday, or Monday, there shall be no Christmas Eve Day holiday but there shall be three
(3) floating holidays determined by mutual agreement between the employee and Director or
Manager. Floating holidays must be used by the end of each calendar year.
Employees shall be paid eight (8) hours straight time for each of the holidays. However, those
employees governed by the Memorandum of Agreement, must comply with section 13.2 of that
Agreement.
Temporary employees who work on a holiday shall be paid at the employee's regular base pay rate
and shall not receive holiday pay for hours not worked.
LIFE INSURANCE
HUC provides group term life insurance with accidental death and dismemberment for all full-
time employees. HUC also offers voluntary term life insurance for all full-time employees.
Information on life insurance is available through human resources/payroll.
HEALTH/DENTAL INSURANCE
HUC provides an opportunity for employees to participate in a group (HSA)/dental insurance
program. Employees are eligible for coverage the first of the month following hire date. Contact
human resources/payroll for information regarding benefits and participation levels.
Contact human resources/payroll for information about continuation of health/dental insurance
coverage after leaving.
See Union Contract.
DISABILITY INSURANCE
HUC pays the entire premium of a long-term disability insurance policy for all employees.
Information on disability insurance is available through human resources/payroll.
FAMILY AND MEDICAL LEAVE (FMLA)
Pursuant to the Family and Medical Leave Act, employees are allowed up to 12 weeks unpaid
leave during a 12-month period for the following reasons:
• Birth or care of the newborn child of the employee
• Placement with the employee of a child for adoption or foster care
• Serious health condition of the employee that makes the employee unable to perform the
functions of the position of such employee
• In order to care for an employee's dependent child, spouse, or parent suffering from a
serious health condition
• Any qualifying exigency arising out of the fact that the spouse, or a son, daughter or parent
of the employee is on active duty, or has been notified of an impending call or order to
active duty) in the Armed Forces in support of a contingency operation.
Up to twenty-six (26) weeks of protected leave per twelve (12) month period shall be granted to
all eligible employees for the following reasons:
• An eligible employee who is the spouse, son, daughter, parent, or next of kin of a covered
service member shall be entitled to a total of 26 workweeks of leave during a twelve (12)
month period to care for the service member. The leave described in this paragraph shall
only be available during a single twelve (12) month period.
• A covered service member is defined as a member of the Armed Forces, including a
member of the National Guard or Reserves, who is undergoing medical treatment,
recuperation, or therapy, is otherwise in outpatient status, or is otherwise on the temporary
disability retired list, for a serious injury or illness. The term "serious injury or illness", in
the case of a member of the Armed Forces, including a member of the National Guard or
Reserves, means an injury or illness incurred by the member in the line of duty on active
duty in the Armed Forces that may render the member medically unfit to perform the duties
of the member's office, grade, rank, or rating.
Spouses employed by HUC, both in regular positions, are jointly entitled to a combined total of
12 work weeks of family leave for the birth and care of a newborn child, for placement of a child
for adoption or foster care, and to care for a parent who has a serious health condition. Spouses are
entitled to a combined total of 26 weeks during a single twelve (12) month period to care for an
eligible service member.
During the single twelve (12) month period, an eligible employee shall be entitled to a combined
total of 26 work weeks of total leave allowed under the FMLA.
To be eligible for FMLA, the employee must have worked at least one year for HUC and worked
at least 1,040 hours during the previous 12 months.
In order to receive FMLA, the employee must request the leave by providing human
resources/payroll 30-day's notice prior to the requested starting date of the leave. If 30-day's notice
is not possible, the employee must provide as much notice as possible. Human resources/payroll
shall provide the employee a "Medical Certificate" which must be completed by the employee's
physician and returned to human resources/payroll. Pursuant to the FMLA, HUC may request a
second opinion from another medical provider at HUC's expense. If the second opinion is different
from the employee's physician's opinion, HUC shall seek a third opinion at HUC's expense. The
third opinion shall prevail. HUC may require that a request for leave related to active duty or call
to active duty be supported by a certification issued by the health care provider of the service
member being cared for by the employee.
The 12 weeks of available FMLA extend over 12 months. To determine whether the employee has
any FMLA remaining, human resources/payroll shall review the 12 months preceding the request
for FMLA. An employee may use the 12 weeks of FMLA intermittently over the 12-month period
if necessary and may take the leave in increments of one hour or more.
HUC may require a medical certificate attesting to the employee's fitness for duty prior to return
to work. The fitness for duty report must be based on the particular health condition(s) for which
the leave was approved and must address whether the employee can perform the essential functions
of his/her regular position.
An employee on FMLA for serious illness of the employee, the employee's spouse, dependent
child or parent shall be required to use vacation or sick leave concurrent with the FMLA.
HUC shall continue to pay its contribution toward health and dental insurance while an employee
is on FMLA. The employee shall be required to continue payment of the employee portion of the
premiums during the leave. If the employee fails to pay their portion of the premiums, HUC may
terminate their insurance coverage subject to COBRA requirements. At the end of FMLA, an
employee shall be returned to his/her former position or an equivalent position.
For more information on FMLA, see human resources/payroll.
PREGNANCY AND PARENTING LEAVE
Pursuant to the Minnesota Pregnancy and Parenting Act, employees who have worked for HUC
for at least twelve (12) months and average at least twenty (20) hours per week are entitled to take
an unpaid leave of absence. Female employees are eligible for prenatal care, or incapacity due to
pregnancy, childbirth, or related health conditions as well as a biological or adoptive parent in
conjunction with the birth or adoption of a child are eligible for up to twelve (12) weeks of unpaid
leave and must begin within twelve (12) months of the birth or adoption of the child. In the case
where the child must remain in the hospital longer than the mother, the leave must begin within
twelve (12) months after the child leaves the hospital.
Eligible employees must provide thirty (30) days written notice to human resources/payroll of their
desire to take parental leave. Employees are required to use their paid leave banks, such as sick
leave or vacation.
If the employee is also eligible for FMLA, the pregnancy and parenting leave under this section
and FMLA shall run concurrently.
The employee is entitled to return to work in the same position and at the same rate of pay the
employee was receiving prior to commencement of the leave. Group insurance coverage will
remain available while the employee is on leave pursuant to the Pregnancy and Parenting Leave
Act, but the employee will be responsible for the entire premium unless otherwise provided in this
policy (i.e., where leave is also FMLA qualifying). For employees on an FMLA absence as well,
the employer contributions toward insurance benefits will continue during the FMLA leave
absence.
REASONABLE UNPAID WORK TIME FOR NURSING MOTHERS
Nursing mothers will be provided reasonable unpaid break time to express milk for nursing her
child for one year after the child's birth. HUC will provide a room (other than a bathroom) as
close as possible to the employee's work area, that is shielded from view and free from intrusion
from coworkers and the public and includes access to an electrical outlet, where the nursing
mother can express milk in private.
REASONABLE ACCOMMODATIONS TO AN EMPLOYEE FOR HEALTH
CONDITIONS RELATING TO PREGNANCY
HUC will attempt to provide a female employee who requests reasonable accommodation with
the following for her health conditions related to her pregnancy or childbirth.
• More frequent restroom, food and water breaks;
• Seating;
• Limits on lifting over 20 pounds and/or
Temporary transfer to a less strenuous or hazardous position, should one be available.
Unless such accommodations impose an undue hardship, HUC will engage in an interactive
process with respect to an employee's request for a reasonable accommodation.
SICK LEAVE
1. Sick leave shall be granted to all probationary and non -probationary employees at a rate of
eight (8) hours per month.
2. Sick leave may be granted for absence from duty due to personal illness, or for the illness of
an immediate family (See Definitions) member on the same terms the employee is able to use
sick leave benefits for their own illness, including appointments for necessary medical, dental
or eye care, legal quarantine, or brief emergency situation (not to exceed one day) in the
immediate family (See Definitions).
3. Sick leave cannot be accumulated beyond 720 hours. After the accumulation of 720 hours, a
payback of one-third of the amount over 720 hours shall be made annually on or about February
1.
4. Upon retirement or death before retirement, a payback of one-third of the amount over 240
hours shall be made. If the employee resigns or is dismissed, the above payment shall not be
made. In case of death during employment, the unused sick leave shall be paid to his/her estate
on the same percentage as above.
5. Requests for sick leave consideration in case of other emergency situations may be brought to
the Director, Manager or Supervisor.
6. A maximum of five days funeral leave may be allowed when necessary in the case of death in
the immediate family (See Definitions).
7. If an employee becomes ill and must stay home from work, he/she shall notify their Director,
Manager or Supervisor before their work day begins.
8. If an employee becomes ill during his/her regular work day, they shall notify their Director,
Manager or Supervisor that it is necessary to leave due to illness.
9. Employees may be required to submit a medical certificate for any sick leave, at the discretion
of the Director, Manager or Supervisor.
10. The use or claim of sick leave for apurpose not authorized may be cause for disciplinary action.
11. For the purpose of accumulating additional vacation or sick leave, an employee using earned
vacation or sick leave is considered to be in a paid or working status.
12. Employees that are injured while engaged in after hours' employment of others or while self
employed, shall not be covered under f UC's Sick Leave Policy, or Worker's Compensation
benefits.
13. An employee who is determined to be eligible for workers compensation benefits during
absence from duty shall receive such benefits pursuant to "Worker's Compensation" in the
Employee Handbook.
14. HUC shall comply with the Family and Medical Leave Act, the Minnesota Parental Leave Act
and the Americans with Disabilities Act.
15. Safety leave. Employees are authorized to use sick leave for reasonable absences for
themselves or immediate family (See Definitions) who are providing or receiving assistance
because they, or a relative, is a victim of sexual assault, domestic abuse, or stalking. Safety
leave for those listed, other than the employee and the employee's child, is limited to 160 hours
in any calendar year. After accrued sick leave has been exhausted, vacation leave may be used
upon approval of the General Manager, to the extent the employee is entitled to such leave.
SICKNACATION LEAVE DONATION
The HUC recognizes that a catastrophic illness and/or serious health condition of an employee or
immediate family member (spouse or dependent child) may deplete an employee's available paid
leave (sick/vacation/compensatory time). This policy is meant to provide employees with the
option of assisting fellow employees at such a time.
HUC employees having accrued sick or vacation leave shall be allowed to donate a portion of such
accrued leave to fellow employees experiencing a catastrophic illness and/or serious health
condition suffered by the employee, the employee's spouse, or the employee's dependent
child(ren). A catastrophic illness and/or serious health condition includes but is not limited to,
heart attack, stroke, organ transplant, or other life threatening illness or debilitating condition as
defined by a physician's diagnosis.
The donation of leave from one employee to another shall be subject to the following terms and
conditions.
1. An employee is only eligible to receive donated leave for time lost from normal work
hours due to a life threatening disease or condition as defined above.
2. An employee shall be eligible to receive donated leave only after the employee's accrued
sick, vacation, and compensatory time have been exhausted.
3. All requests to receive donated leave must be in writing to human resources/payroll and
must be accompanied by supporting medical data. No full time employee shall be allowed
to receive more than a total of twenty (20) work days or 160 hours of donated leave per
single major life threatening disease or condition unless requested and approved by the
General Manager. There is no limit on catastrophic events per year.
4. An employee may only use donated leave up to the time of eligibility for a long-term
disability benefit (if applicable), or for the maximum number of days allowed to be
donated, whichever occurs first.
5. A full time employee may donate no more than sixteen (16) hours of leave per calendar
year to a single fellow employee. This shall not be construed to prohibit donating sixteen
(16) hours per year to additional employees. Leave donation shall be calculated using time
and not an equivalent cash amount.
6. An employee who is donating paid leave must do so from the employee's accrued sick
and/or vacation leave balance. A written request to donate leave must be made to human
resources/payroll on forms designated by HUC for that purpose. All donations made shall
be kept confidential.
7. The General Manager shall have the right to deny use of donated leave or limit its use if
it is determined to be in the best interests of HUC.
Donated leave shall be subtracted from the donor's accumulated balance and added to the
requested employee as part of the payroll function. Donated time shall be processed and used by
the date of submission until the eligible amount of donated leave is reached. Contributions of leave
hours exceeding the eligible amount shall be returned to the donating employee, and shall not be
transferred. Donated hours shall be used in the order they are received.
TRAINING AND EDUCATION ASSISTANCE
HUC encourages its employees to seek individual and career development through job -related
training and education. HUC provides financial assistance for successful completion of qualifying
programs and courses. Tuition, registration fees and other course -related fees would be reimbursed
after successful completion of a course. To apply for education assistance, employees must submit
a request to their Director, Manager, or Supervisor no later than five working days prior to
registration. The Director, Manager or Supervisor and the General Manager must approve the
course, seminar, or program. Only courses that are job -related and provide potential for career
advancement with HUC are eligible for reimbursement.
The following criteria must be met:
The maximum amount of reimbursement will be $6,000 per calendar year. If coursework
or tuition exceeds this amount, then the Director or General Manager will approach the
Commission to request a waiver. To request a waiver, the coursework must be directly
related to the employee's position within the company, or if the degree the employee is
seeking is beneficial to the company; in other words, it would be difficult to hire someone
who already has that degree.
Reimbursement is contingent on receiving a "pass" or minimum grade of "C".
Employee must study on their own time. Use of HUC computers is allowed in accordance
with the IT policy.
An employee must remain employed at HUC for twenty-four (24) calendar months after
completion of a course, or must repay HUC all reimbursements received for the course.
WORKPLACE ACCOMMODATION
HUC shall make workplace accommodations in accordance with state and federal law. An
employee who believes he or she qualifies for a reasonable accommodation under the Americans
with Disabilities Act (ADA) shall submit a request for accommodations to the General Manager.
HUC shall engage in an interactive process with employees who request accommodation in order
to identify the specific physical and mental abilities and limitations as they relate to essential job
functions; barriers to the performance of essential job functions; and how these barriers could be
overcome with reasonable accommodation. The employee may be requested to provide written
documentation from a healthcare provider relating to the employee's medical condition and
request for accommodation. If an employee refuses to provide such written documentation and/or
sign an authorization allowing HUC to contact the healthcare provider, HUC will evaluate the
employee's request based on the information available to HUC. HUC shall, in the process of
evaluating potential accommodations, determine which, if any, potential accommodations present
an undue hardship to HUC or the department in which the employee works.
UNPAID EXTENDED LEAVE OF ABSENCE
The General Manager may grant an employee's request for an extended leave of absence without
pay. The unpaid leave of absence shall be a minimum length of one month and a maximum length
of six months. Employees on an extended leave of absence for one month or longer which is not
governed by the FMLA, are required to pay the full cost of any health, long-term disability or life
insurance premium during the leave of the absence. Employees on unpaid leave of absence shall
not earn vacation and sick leave.
No employee shall be granted a leave of absence in order to accept a different position with another
employer. Acceptance of a full-time position with another employer shall be deemed a resignation
of the employee's position with RUC.
FAMILY DEATH
See Union Contract.
EMERGENCY LEAVE
The General Manager may approve time off without pay to an employee who has no vacation or
compensatory time available, if in the General Manager's discretion, the employee is experiencing
an emergency requiring the employee's attention.
MILITARY LEAVE
HUC shall comply with Minnesota statutes relating to military leave.
JURY, WITNESS OR BOARD DUTY
A regular full-time and part-time employee called to jury duty will be granted paid leaves of
absence. Employees are required to notify their supervisor as soon as possible after receiving
notice to report for jury duty. Such employees will be required to turn over any compensation they
receive for jury duty, minus mileage reimbursement, to HUC in order to receive their regular wages
for the period. Time spent on jury duty will not be counted as time worked in computing overtime.
Employees excused or released from jury duty during their regular working hours will report to
their regular work duties as soon as reasonably possible or will take accrued vacation or
compensatory time to make up the difference.
Employees will be paid their regular wage to testify in court for HUC-related business or to serve
on a work -related board or committee which pays a per diem. Any compensation received for
court appearances (e.g. subpoena fees) or as meeting per diems arising out of or in connection with
HUC employment, minus mileage reimbursement, must be turned over to HUC.
VOLUNTEER FIRE OR RESCUE SQUAD DUTY
In the event of an HUC emergency, the General Manager reserves the right to retain essential
employees from Hutchinson volunteer fire or rescue squad duties or require employees to return
to their HUC duties and assist the operation of HUC.
HUC employees who are called out as members of the Hutchinson volunteer fire or rescue squad
while on duty with HUC will be paid up to four hours regular pay while on the emergency call.
SCHOOL CONFERENCE LEAVE
Any employee who has worked half-time or more may take unpaid leave for up to a total of
sixteen (16) hours during any 12-month period to attend school conferences or classroom
activities related to the employee's child (under 18 or under 20 and still attending secondary
school), provided the conference or school related activities cannot be scheduled during non -
work hours. When the leave cannot be scheduled during non -work hours and the need for the
leave is foreseeable, the employee must provide reasonable prior notice of the leave and make a
reasonable effort to schedule the leave so as not to disrupt unduly the operations of HUC.
Employees may choose to use vacation leave hours or compensatory time for this absence, but
are not required to do so.
BONE MARROW/ORGAN DONATION LEAVE
Employees working an average of 20 or more hours per week must be granted paid leave, not to
exceed 40 hours unless agreed to by HUC, to undergo medical procedures to donate bone marrow
or to donate an organ or partial organ. HUC may require a physician's verification of the purpose
and length of the leave requested. If there is a medical determination that the employee does not
qualify as a bone marrow or organ donor, the paid leave of absence granted to the employee prior
to that medical determination is not forfeited.
RETIREMENT PROGRAM
HUC is a member of the State Public Employees Retirement Association ("PERA") and also
participates in the federal FICA (Social Security) program. Full-time employees must become
members of PERA effective the date of employment. Both HUC and the employee contribute to
PERA. Information on PERA is available from Human Resources.
DEFERRED COMPENSATION
After completion of probationary period, HUC offers a 457 deferred compensation plan, which
allows employees to place a portion of their earnings through payroll deduction into a tax deferred
investment program. Taxes on money set aside are deferred until the time the money is withdrawn.
HUC does not contribute to this 457 deferred compensation plan. For enrollment information,
contact payroll.
PERSONAL USE OF UTILITY FACILITIES AND EQUIPMENT
No employee may use HUC facilities or equipment for personal use.
REQUIRED CLOTHING
HUC will provide employees required uniforms and safety clothing at no cost to the employee.
This clothing may differ by Department. See Staff Personnel for a list of the clothing HUC will
provide to those employees.
All clothing issued to employees by HUC may only be worn while the employee is on -duty for
HUC. Failure to wear flame resistant clothing at the appropriate times is a violation of HUC policy
and will subject the employee to discipline.
SMALL HAND TOOLS
HUC shall furnish the hand tools specified by the Director or Manager as necessary to perform the
employee's job duties. RUC will replace any small tools damaged or broken on the job. The
damaged hand tool must be turned into the employee's Director or Manager. It is the responsibility
of the employee to replace any missing hand tools.
RECOGNITION POLICY — SERVICE AWARDS AND RETIREMENT GIFTS
Obiective
Service awards and retirement gifts are provided to recognize and reward employees for service
with the company. Awards are granted without regard to position or salary.
Scope of Policy
Full-time, active employees are eligible for a service award for every five (5) years of service
completed. The service awards may increase in value based on longevity, per the table listed in
Service Award Procedures below.
Service Credit
Service credit for service awards will count from the first day an individual is considered a full-
time employee of HUC and continue while the employee remains on full-time, active status. If an
individual has a break in service, their service credit may resume accumulating when they return
to full-time status, depending on the nature of the break.
Service Award Procedures
HUC will inform the individual employee of their eligibility for a service award. Eligible
employees may select a gift card in the amount noted on the table below. Employee will receive
a Certificate of Appreciation signed by the General Manager and presented to them at the
Recognition Banquet. Gift cards must be for personal, tangible property and may not be redeemed
for cash.
Amount
Years of Service
$50
5 Years
$100
10 Years
$125
15 Years
$150
20 Years
$175
25 Years
$200
30 Years
$250
35 Years
$300
40 Years
Retirement Recognition Procedures
Retirees have the option of a potluck luncheon in their honor. A gift from HUC valued at no
greater than $300 will be given to the retiree. The immediate supervisor will be responsible for
coordinating the purchase of the gift.
HUTCHINSON UTILITIES COMMISSION�1`
Board Action Form
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Agenda Item: Bid Approval - Unit #8 Control System Replacement
Presenter: iC
Agenda Item Type:
Time Requested (Minutes): 5
New Business
Attachments,: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
Hutchinson Utilities Commission owns and operates a General Electric Frame 3 "STAG'
natural gas fired gas turbine (Unit #8) and has recently advertised for bids to replace a
portion of the genset control system due to obsolescence of replacement parts and
support.
Results of the May 14th bid opening:
Ethos Energy: $227,005.00
Lone Star Controls: $292,194.19
Case RMC: $330,074.00
Petrotech: $215,512.00
Having met all bidding requirements, it is the recommendation of HUC Staff to award the
Unit #8 Control System Replacement project to Petrotech, Inc.
This project was included in the 2019 budget ($305,000).
BOARD ACTION REQUESTED:
Approve bid by Petrotech, Inc for $215,512.00.
Fiscal Impact:
Included in current budget: Yes Budget Change: No
PROJECT SECTION:
Total Project Cost: Remaining Cost:
GIRI GI IIIN A.
Petrotech Proposal
Purchaser Hutchinson Utilities Commission
Project contact Mr. Randy Blake
Email: lakekci.hutchinson. n.us
Project name GE Frame 3 Control System Replacement
Balance of Plant
Petrotech quote number 19-0065
Revision level 1
Date issued May 13, 2019
Scope summary Control System Replacement for GE Frame 3
Combustion Turbine Balance of Plant at Hutchinson
Utilities Commission Plant, Minnesota.
Petrotech Account Manager Craig Springford, Tel.: 618-979-8034
Email: rford&petrotechinc.com
Prepared by Hadi Abdallah, Tel.: 504-620-5334
Email: HAbdallah&:petrotechinc.com
Please submit all purchase orders to: OrderEntryki2etrotechinc.co
or mail to: Applications Engineering Manager
151 Brookhollow Esplanade
New Orleans, LA 70123 USA
Proposal Contents
Section 1 Petrotech Introduction
Section 2 Execution Statement
Section 3 Detailed Scope of Supply
Section 4 Commercial
Section 5 References
Section 6 Literature/Attachments
P TI"ROTjlgCN
www. petrotechinc. c o m
Proposal 19-0065
Revision I
Section 1. Petrotech Introduction
May 13, 2019
Thank you for your interest in Petrotech's full range of products and services. Petrotech Incorporated
provides controls and instrumentation for thousands of rotating machinery assets such as
Compressors, Gas and Steam Turbines, Generators, Reciprocating Compressors, and associated
auxiliary systems. In Petrotech's 50 years of experience it has installed over 2000 systems becoming
the trusted experts in rotating machinery controls.
This experience list includes compressor controls as well as gas turbine, steam turbine, reciprocating
engines and a variety of various applications requiring industrial control. Petrotech has installed
systems for solutions including full turnkey controls and mechanical retrofit, stand-alone control
products, and new equipment solutions for turbomachinery industry OEM's.
The combination of services from a single supplier means that Petrotech, Inc. has in fact the turnkey
capability to perform all of the engineering, manufacturing, installation, commissioning, and training
required to complete your project. Petrotech's facilities include Head offices in New Orleans,
Louisiana, Engineering and Sales offices in Houston, Texas, and support offices in all major regions of
the world.
Petrotech's integrated control systems include complete driver control, load control, sequencing,
protection, and information systems integrated into a control system hardware platform of customer
choice. The types of rotating machinery include the following:
Turbine Drives Gas or Steam Turbine Driven Compressors, Generators, and Pumps.
Reciprocating Engine Drives Reciprocating Engine Driven Compressors, Generators, and Pumps.
Electric Motor Drives Electric Motor Driven Compressors and Pumps.
Compressor Trains Complex Centrifugal and Axial Compressor Trains.
Balance of Plant / Station Balance of Plant / Station Supervisory Control Systems for Pipeline
Controls Compressor Stations, Gas Plants, and Power Plants.
Additionally, Petrotech offers a wide range of services for a complete turnkey retrofit solution:
Technical Training: Custom courses specifically for your control system at the beginner, operator,
engineer, and senior technical management levels.
Technical Surveys and Studies of control problems with already -installed machinery to identify
specific problems in process piping or layout that require correction or mitigation to achieve
satisfactory results.
Installation and Commissioning: Petrotech installation crews are specifically trained for RMC
(rotating machinery controls). They are familiar with special heat, vibration, and wiring integrity
requirements for high value RMC installations. Some supervisors have managed more than 200 RMC
installation projects. Petrotech commissioning engineers and technicians operate worldwide and have
special training and equipment for commissioning, calibration, and tuning.
Technical Support and Services: Telephone support 24x7x365 at no charge includes assistance in
fault finding and control systems operational issues. Field support includes fault finding, calibration,
repair/replace actions, system modification, system updates, and programming services.
CONFIDENTIAL Page 2 of 20
Proposal 19-0065
Revision 1
COMPANY DETAILS
FACILITIES
USA Headquarters
Petrotech, Inc.
151 Brookhollow Esplanade
New Orleans, Louisiana 70123 USA
Phone: (504) 620-6600
Fax: (504) 620-6601
Web Site: www.petrotechinc.com
Houston Facility
Petrotech, Inc.
7240 Brittmoore Rd., Suite 115
Houston, Texas 77041 USA
Phone: (281) 220-3060
Fax: (281) 220-3070
United Kingdom Facility
Petrotech (UK) Limited
Unit 3 Bunting Road
Bury St. Edmunds
Suffolk IP32 7BX, United Kingdom
Phone: +44 (0)1284 715714
QUALITY ASSURANCE PLAN
Per ISO 9001 standards
BANKING FACILITIES
Whitney National Bank
228 St. Charles Avenue
New Orleans, Louisiana 70131-2601 USA
Phone: (504) 552-4671
LICENSES
Registered as a professional engineering
company by the Louisiana State Board of
Registration. Initial date of license: 1980 State
of Louisiana Contractor's License #13827-
Other states available.
May 13, 2019
PRINCIPAL PRODUCTS and
SERVICES
Integrated Control Systems for:
• Gas and Steam Turbines
• Centrifugal and Axial Compressors
• Generators, E-Motors and Pumps
• Reciprocating Engines and Compressors
• Balance of Plant / Supervisory Control
Systems for Compressor Stations, Gas
Plants, Power Plants, Process Plants, and
Offshore Platforms
Auxiliary Systems for:
• Gas and Liquid Fuel Upgrades
• Water and Steam Injection
• Vibration, Hydraulics, Power, Fire & Gas
Technical Support for:
• Installation
• Commissioning
• Training
• Consulting Services
INSURANCE
Petrotech maintains all workers' compensation,
automobile, general liability, and other
insurance typically required by major industrial
customers worldwide. Certificates available
upon request.
TRANSPORTATION
• Nearest seaport:
Port of New Orleans 17 km (10 miles)
• Nearest major airport:
New Orleans International Airport (MSY),
12 km (7 miles)
CONFIDENTIAL Page 3 of 20
Proposal 19-0065
Revision I
PARTIAL CUSTOMER REFERENCE LIST
May 13, 2019
PIPELINE & PETROCHEMICAL
POWER GENERATION
AGIP
Italy
AGIP
Nigeria
Al Furat Petroleum
Syria
Aiken County Public Service
U.S.A.
American Natural Resources
U.S.A.
Alberta Pacific Forest Industries
Canada
Amoco
Trinidad
Aluminium Bahrain
Bahrain
Aramco
Saudi Arabia
American Atlas
U.S.A.
Arco
Various
American Municipal Power
U.S.A.
BP
USA/China
Archer Daniels Midland
U.S.A.
Chevron Texaco
Various
Arizona Electric Power Company
U.S.A.
CMS Energy
U.S.A.
BP Alaska
U.S.A.
Columbia Gas & Gulf
U.S.A.
Bras Nigeria
Nigeria
Conoco -Phillips
U.S.A.
Central Vermont Public Service
U.S.A.
Dow Chemical
U.S.A.
Chevron Angola
Angola
Dragoso
Canada
Citizens Utilities
U.S.A.
Duke Energy
U.S.A.
City of Lakeland
U.S.A.
El Paso Energy
U.S.A.
City of Marquette
U.S.A.
Elf Petroland
Holland
City of Medicine Hat
Canada
Enron
Various
City of Springfield Utility
U.S.A.
EPMI
Malaysia
Conectiv
U.S.A.
Enterprise
U.S.A.
Consolidated Edison
U.S.A.
Exxon Mobil
Various
Cooperativa Electrical Power
Argentina
Fina Oil & Chemical
U.S.A.
Delmarva Power
U.S.A.
Gaz de France
Holland
DSM Power
Holland
Gulf South Pipeline
U.S.A.
Dyergy
U.S.A.
GUPCO
Egypt
Ecopetrol
Colombia
Kinder Morgan
U.S.A.
Electricity Generating Authority
Thailand
Kirkuk Gas Turbine Plant
Iraq
Electroquito
Ecuador
Koch Gateway Pipeline
U.S.A.
Elf Aquitaine
France
Maersk
Holland
Enelbar
Venezuela
Marathon
U.S.A.
Federal Electricity and Water
Dubai
National Gas Company
Trinidad
Imperial Irrigation
U.S.A.
Northern Natural Gas
U.S.A.
Koch Power Company
U.S.A.
Northwest Pipeline
U.S.A.
Lincoln Electric Utility
U.S.A.
ONGC
India
Madison Gas & Electric
U.S.A.
PDVSA
Venezuela
Manitowoc Power Company
U.S.A.
PEMEX
Mexico
New Smyrna Beach Utility
U.S.A.
Petrobras
Brazil
Northem Indiana Public Service
U.S.A.
Petrocanada
Canada
Northem States Power
U.S.A.
Petronas
Malaysia
NRG
U.S.A.
Petroperu
Peru
Oman Refinery Corporation
Oman
PDO
Oman
Pennsylvania Power & Light
U.S.A.
POL
Pakistan
Phelps Dodge
U.S.A.
Sempra
U.S.A.
Plains Exploration
U.S.A.
Shell
Various
Qatar Fertilizer Company
Qatar
South Carolina Pipeline
U.S.A.
Reliant Energy
U.S.A.
Tesoro Petroleum
U.S.A.
Rochester Gas and Electric
U.S.A.
Texas Gas Transmission
U.S.A.
Salomon Smith Barney
U.S.A.
TGS/TGN/YPF
Argentina
Texas Petrochemical
U.S.A.
TOTAL
Holland
Tractebel
U.S.A.
Unocal
Thailand
Union Carbide
U.S.A.
Vico
Indonesia
Virgin Islands Water & Power
Virgin Islands
Williams Energy
U.S.A.
ZADCO
Abu Dhabi
CONFIDENTIAL Page 4 of 20
Proposal 19-0065
Revision I
May 13, 2019
PARTIAL REFERENCE LIST OF ROTATING MACHINERY CONTROL SYSTEMS
Following is a partial list of common rotating machinery for which Petrotech has developed control
solutions. Other machinery control systems are available from the extensive library of products
developed by Petrotech.
TURBINE CONTROL SYSTEMS -over 1000 Units Installed
ABB Stal GT35
Kongsberg
Allison
Lycoming
Dresser
Mitsubishi
Elliott Steam Turbine
Pratt & Whitney
Fiat
Rolls-Royce
GE Frame Series
Ruston
GE LM Series
Siemens
GE Steam Turbine
Solar
Hispano-Suiza
Westinghouse
RECRIPOCATING ENGINE CONTROL SYSTEMS -over 300 Units Installed
Ariel
EMD Diesel
Chicago Compressor
Ingersoll-Rand
Clark
Rolls-Royce
Cooper -Bessemer
Ruston
Cummins
Waukesha
Detroit Diesel
White Superior
Dresser -Rand
Worthington
COMPRESSOR CONTROL SYSTEMS -over 1,600 Units Installed
Air Separation
Liquid Extraction
Alkaline Process
LNG
Carbon Monoxide
LPG
Chlorine Process
Maleic Anhydride
CO2 Process
Natural Gas
Coker Gas
Nitric Acid Expansion
Crack Gas
Nitrogen Process
Ethylene
Process Air
FCCU Process
Propane
FCCU Wet Gas
Propylene
Flash Gas Process
Refrigeration
H2S Gas
Residual Gas
HCL
Turbo Expander
Hydrogen/Methane
Waste Gas
Hydrogen Gas
CONFIDENTIAL Page 5 of 20
Proposal 19-0065 May 13, 2019
Revision 1
Section 2. Execution Statement
Petrotech is pleased to offer our proposal to upgrade the Balance of Plant (BOP) Control system for
One (1) GE Frame 3 turbine generator control package for Hutchinson Utilities Commission. Based
on the expansive experience retrofitting every type of gas turbine, we have put together a
comprehensive proposal for the upgrade of the C3-I1ex RTU and HMI. This proposal is turnkey, and
will include all services required for design, fabrication, testing, commissioning, and training.
Petrotech has over 40 years of experience in the turbomachinery controls business and have
retrofitted every type of gas turbine in both power generation and mechanical drive with hundreds of
GE Frame 3 Upgrades. We started with pneumatic controls, later developed our own
microprocessor -based turbine controls, and in the early 1990's moved our core technology to modern
platforms such as PLC, DCS and others. Since then, we have delivered gas turbine control systems
for virtually all brands and models of gas turbines on all major PLC platforms such as the one you are
requesting (Rockwell, GE, TI, Siemens, Modicon, etc.). We have successfully delivered over 2000
systems accounting for over 8 million of running hours making us the trusted experts in this field.
Our PLC based solution leads itself to better plant integration and user self-sufficiency and
independence from the OEM at a significantly lower cost of ownership over the life of the system.
Although our system controls and protects the gas turbine to the same design specifications as the
OEM; our state-of-the-art designs are intuitive and self -diagnosing and eliminate the need for the
OEM engineer for every change or tuning required with minimal remote support. Because of this
simplicity, once a customer like you uses our system on one of their turbines, they never go back to
the OEM for any of their control retrofits.
Project Execution:
The primary project team assigned for this project would consist of a Project Manager (PM) and a
Project Engineer (PE). The PM will provide support and customer interface throughout the project
as well as maintain the project schedule. The PE will manage all the design inputs to ensure the
control panel sub -plates and programs are designed and configured in line with the project
requirements, the specific site requirements, and the OEM specifications.
During the design phase, Petrotech will conduct a detailed site survey during which the engineer will
gather field data, documentation, measurements, and consult with HUC operators and engineers to
start the preliminary design. Basic preliminary design for approval will include developing drawings
and system design documents. Documentation for approval will include, but not be limited to:
• Project Schedule
• Input/Output List
• Cause & Effect Diagrams
• Panel Sub -plate Layout Drawings
• Bill of Materials
• PLC Layout
• Communication System Architecture Drawing
• Wiring Diagrams
• HMI Screens
• FAT Protocol
CONFIDENTIAL Page 6 of 20
Proposal 19-0065
Revision 1
SAT Protocol
May 13, 2019
The Petrotech GE Frame 3 Balance of Plant (BOP) application will be integrated into your selected
industrial PLC system (Allen Bradley ControlLogix) in a simplex CPU configuration including all
required Power Supplies, Communication Modules, and Simplex I/O Modules. The provided control
system will have "open" control logic where HUC will have access to the control logic configuration
for self-support over the life of the system.
Petrotech's software is developed using the concept of open architecture, meaning that all the logic
for sequencing and protection, I/O configuration, alarms configurations, set -points,
communications, etc. are open to the end user to view and modify as needed to support their
operation without the need of Petrotech's involvement. However, it is worth noting that Petrotech
offers 24/7 telephone support for all of our installations free of charge.
The Allen-Bradley PLC Platform will completely replace the existing C3-Ilex control system used for
the Frame 3 sequencing, protection, Boiler, Steam Turbine Control, Hotwell Control, Flame
Detection, Vibration Monitoring, Lube Oil System, and Turning Gear Control. Petrotech will use
Allen-Bradley ControlLogix modules carefully selected for this application in terms of scan time,
resolution, card density and channel isolation requirements. The operators will have the capabilities to
make changes to the control system and operating functions.
Petrotech is providing an HMI application based on Factory Talk Site Edition with the required
Petrotech BOP Standard screens for safe and reliable operation of the equipment. The screens will
provide sufficient information to the operator for startup of the machine, online operation, historical
trending and logging, detailed alarms, and overview screens of all the major subsystems of the gas
turbine. The alarms are generated with first -out logic and detailed descriptions of the faults to point
the operator exactly to the issue at hand. High speed historical logging will be achieved by the HMI
application in which variables will be logged to allow for post -fault analysis. The following points will
be included in the trending package as minimum:
• All Thermocouple temperatures and RTD values (scaled to engineering units)
• Generator Load in MW, MV, VARs, and Amps
• Unit operating parameters such as Turbine/Generator speeds, process flow values, process
pressure values, and any other parameters critical to operation of the unit
• Digital operating points to assist in troubleshooting from a sequence of events, such as pump
start/stop commands, motor start/stop commands, alarm occurrences, logic status changes,
etc.
• All turbine and generator vibration levels.
• Boiler and Steam Turbines
The existing 7-Slot ControlLogix PLC Rack will be replaced with 10-Slot PLC Rack with Two (2)
CFM Speed Modules added to it while all the equipment related to this rack will reused such as,
existing I/O modules, Servo Valves converters, etc. Petrotech will be replacing the L55 CPU with a
new ControlLogix L81e CPU and Redundant Ethernet Module for communication with the new
Remote I/O Rack. The DVAR System will be replaced with a new ControlLogix Remote I/O Rack
as stated under Item 3 Scope of Supply Item 1.1.2. In Addition, the C3-Ilex CPU and I/O modules
in the BOP Panel will be replace with a new ControlLogix Remote I/O Rack as stated under Item
1.1.2. The new BOP I/O Rack too into consideration the additional I/O that will be added per the
RFP.
CONFIDENTIAL Page 7 of 20
Proposal 19-0065 May 13, 2019
Revision 1
In addition to the BOP Upgrade, Petrotech included in its proposal a DEIF Auto -Synchronizer as
stated under Section 3 Detailed Scope of Supply Item 1.1.9. Metrix Vibration modules will be
provided to replace existing obsolete vibration monitor and be wired directly to the new PLC system.
Screens will be created in the HMI that will reference the turbine vibration sensors.
The control system will be delivered fully assembled on new sub -plates that will fit inside the existing
control panels. This approach has worked perfectly in many past upgrades. By using shop fabricated
doors and sub -plates, the installation task becomes much easier saving time in the field.
After fabrication is complete, Petrotech will hold a Factory Acceptance Test (FAT) in our shop.
During this test, all inputs and outputs, alarms and shutdowns, startup sequence, operating modes,
etc. will be verified by simulating all inputs and outputs from the field sensors. This will be
documented in a pre -approved FAT Protocol. At this time HUC engineers and operators will be able
to verify the operation and make fine adjustments that will better fit how they operate their machines
at the facility. This will also be a great training experience for the end user getting a hands-on
experience with the PLC and HMI in a controlled environment.
An option for onsite training services is also offered in which the Petrotech engineer will cover the
operations manual, wiring diagram, control system logic and HMI features, and troubleshooting
techniques. Training will be held at the customer's facilities and will be given at the times most
appropriate to cover all shifts.
Expert Turbomachinery Controls (TMC) Specialist/Engineer will come to site to perform the startup
tasks following a previously approved Site Acceptance Test (SAT) Protocol. This will include full
loop checks of the end devices, step-by-step startup of the machine, tuning, and load testing to meet
customer requirements.
After commissioning, the engineer will bring back any field markups to prepare an "As
Commissioned" documentation package. In addition to updating the documents mentioned above,
Petrotech will provide the following in electronic format:
• System Operations and Maintenance Manual (Control Narrative)
• PLC and HMI Programs
• System Configuration Tables
• Calibration Sheets
• Vendor Datasheets
• Training Manuals
Petrotech Differentiators
It is important to highlight that Petrotech's project execution process briefly described above is
backed by an ISO-9001 certification. This ensures that all projects are executed and delivered with
the expected high quality, on budget, and on schedule. Furthermore, our process is specifically
designed for retrofit projects which allow the level of customization needed for this type of
applications at a low cost. This is something that differentiates Petrotech from the typical OEM
standard solution.
Since our origin, over 40 years ago, when our turbine technology group separated from GE, we have
focused on delivering a superior product at a much better total value to the end user when compared
to turbine OEM's such as GE.
CONFIDENTIAL Page 8 of 20
Proposal 19-0065 May 13, 2019
Revision I
Our superior offerings at times in our history attracted some of the OEM's to source our solution for
their turbomachinery sales. Since our inception, Petrotech has focused on being the expert in
Turbomachinery controls, while the OEM focuses on being good mechanical engine designers. We
hire best of class control engineers, while the OEM hires mechanical ones.
Our experience with every type of gas turbine has enabled us to advance the technology versatility
over each of the individual OEM's. Over the years, we have used best of breed practices from the
various gas turbine designs to produce superior features such as:
• Soft Light -off reliability near 100% of the time
• First time light -off capability
• Exhaust Gas Temperature (EGT) hot/cold spot detection with reliable thermocouple
monitoring algorithm
• EGT control to within I degree
• Bumpless transfer between Isochronous and Droop operation on line and load share control
• Optimization of air/fuel equivalence ratio and flame temperatures
• Critical Function Redundancy
• Better performance monitoring and integration into plant data management system
The above are just a few features that keep customers like Reliant Energy in New York (now
EasternGen) coming back for over 40 GE Frame 5 gas turbines in their fleet so far; without
consideration of the OEM because of our value proposition and the system features we provide
when retrofitting their fleet of gas turbines.
Over our history, we have evolved the gas turbine control technology to state of the art processing
platforms. Petrotech and all OEM's started in Pneumatic and Electromechanical controllers and
then moved to proprietary microprocessor platforms. We then lead the migration to state of the art
open architecture platform that significantly improved the value proposition to the users. Our
leadership in technology evolution eventually forced all OEM's to do the same, GE, Rolls Royce,
Ruston and Siemens, and Solar now offer their controls only in PLC solutions.
Other advantages to using Petrotech's "Open Architecture" solution for controls include the
following: Use of off the shelf control system components, consistent programming for all systems,
common spare parts, common training, ease of integration to other systems, flexible scalability for
integration with future upgrades, multiple communications options, and the ability for the customer
to self-support after the Petrotech training sessions on the control system.
We appreciate the opportunity to bid on this project and we are available to answer any questions
about the scope and/or our capabilities. We look forward to working with HUC project group in
completing the upgrade of this system.
CONFIDENTIAL Page 9 of 20
Proposal 19-0065 May 13, 2019
Revision 1
Section 3. Detailed Scope of Supply
DETAILED SCOPE OF SUPPLY
ITEM 1.0 — GE FRAME 3 BALANCE OF PLANT UPGRADE
ITEM I QTY. I DESCRIPTION
1.1 GOODS INCLUDED IN ITEM 1.0
1.1.1 1 Lot Petrotech Balance of Plant Sequence and Protection Application Software for
the GE Frame 3 Unit. Software is integrated into an industrial PLC platform
as described in Item 1.1.2 and provides all sequencing and protection
functions for the gas turbine generator set. Control functions provided
include:
• Start-up/Shutdown Sequencing
• Turbine EGT Handling
• Flame Detection
• Vibration Monitoring
• Lube Oil System
• Turning Gear Control
• Hotwell Control
• Boiler Control
• Interface to customer Fuel Control Application Firmware package
• Alarm and Shutdown functions
1.1.2 1 Lot Allen Bradley ControlLogix Programmable Logic Controller (PLC) based on a
simplex CPU configuration. Includes the following components:
Governor PLC Rack:
• One (1) 1756-L81e CPU Processor Module
• One (1) 1756-EN2TR Redundant Ethernet Communication Module
Remote I/O Rack in Turbine Control Panel:
• One (1) Rack Chassis
• One (1) 1756-PB75 Power Supply Module
• One (1) 1756-EN2TR Redundant Ethernet Communication Module
• Five (5) 1756-IRT8I RTD/Thermocouple Input Modules (8-Channel)
• One (1) 1756-IF16 Analog Input Module (16-Channel)
Remote I/O Rack in BOP Panel:
CONFIDENTIAL Page 10 of 20
Proposal 19-0065 May 13, 2019
Revision 1
DETAILED SCOPE OF SUPPLY
ITEM 1.0 — GE FRAME 3 BALANCE OF PLANT UPGRADE
ITEM I QTY. I DESCRIPTION
• One (1) Rack Chassis
• One (1) 1756-PB75 Power Supply Module
• One (1) 1756-EN2TR Redundant Ethernet Communication Module
• One (1) 1756-IRT81 RTD/Thermocouple Input Module (8-Channel)
• Two (2) 1756-IF16 Analog Input Module (16-Channel)
• One (1) 1756-OF8 Analog Output Module (8-Channel)
• Two (2) 1756-OB16D Digital Output Module (16-Channel)
• Four (4) 1756-IB32 Digital Input Modules (32-Channel)
1.1.3
1 Lot
Allen Bradley Hardware as follow for the existing Governor PLC Rack:
• One (1) 1756-AIO 10-Slot PLC Chassis
• Two (2) 1756-CFM Frequency Input Modules (2-Channel)
1.1.4
6
Metrix Vibration Transmitter.
1.1.5
3
4-20mA to 10-50mA Converters for the following:
• Feedwater Valve
• Hotwell Control Valve
• Bypass Steam Valve
1.1.6
1
Dell Precision 3630 Tower PC loaded with Factory Talk SE to be used as the
operator interface with the following Features:
• Intel Core 15-8500, 6 Core, 9MB Cache, 3.OGHz, 4.1Ghz Turbo w/ HD
Graphics 630
• Windows 10 Pro OS 64 English, French, Spanish
• 8GB (Ix8GB) 2666MHz DDR4 UDIMM Non-ECC
• 500GB 7200rpm SATA Hard Disk Drive
• Rockwell FactoryTalk Site Edition License (25 Displays)
1.1.7
1 Lot
Aluminum sub -plates for installation in the existing Turbine control and Balance
of Plant enclosures. The sub -plates will be supplied completely assembled,
wired and tested with all project equipment located internally and wired to
terminal strips for quick termination to existing field input wiring.
1.1.8
1
Un-managed Ethernet switch.
CONFIDENTIAL Page 11 of 20
Proposal 19-0065 May 13, 2019
Revision 1
DETAILED SCOPE OF SUPPLY
ITEM 1.0 — GE FRAME 3 BALANCE OF PLANT UPGRADE
ITEM I QTY. I DESCRIPTION
1.1.9
1
120 VAC to 24 VDC Power Supply Module.
1.1.10
1
DEIF Auto -Synchronizer.
1.1.11
1 Lot
Terminals, wire duct, wire, wire markers, nametags and miscellaneous materials
to make a complete control assembly.
1.1.12
1 Lot
System Manuals on CD-ROM (2 sets).
1.1.13
1 Lot
Crating Material as required.
1.2
SERVICES INCLUDED IN ITEM 1.0
1.2.1
1 Lot
Petrotech project management services to provide customer interface
throughout the control system design, fabrication, installation and
commissioning.
1.2.2
1 Lot
Engineering services to provide support for one (1) kickoff meeting or site
survey for a period of One (1) day at the customer location.
1.2.3
1 Lot
Engineering services required to develop, define and layout a the complete sub -
plates assembly.
1.2.4
1 Lot
Engineering services to configure and integrate the sequencing and protection
application product to the control system in the existing Governor PLC Code.
1.2.5
1 Lot
Engineering services to add the additional logic and programming for the new
Alarms I/O in the existing Governor PLC Code.
1.2.6
1 Lot
Engineering services to develop the HMI screens to meet the application.
1.2.7
1 Lot
Drafting services to provide the drawing package for the assembly of the control
enclosure assembly. This would also provide for the attachment of existing
customer wiring or newly pulled wiring for the system.
1.2.8
1 Lot
Shop services to provide the labor to mount all system assemblies and
equipment on the new sub -plates. This would also include the wiring of all
modules to terminal strips per the engineering drawings specified.
CONFIDENTIAL Page 12 of 20
Proposal 19-0065 May 13, 2019
Revision 1
DETAILED SCOPE OF SUPPLY
ITEM 1.0 — GE FRAME 3 BALANCE OF PLANT UPGRADE
ITEM I OTY. I DESCRIPTION
1.2.9
1.2.10
1.2.11
1.2.12
1 Lot
1 Lot
1 Lot
1 Lot
Engineering and shop services to provide for a customer witnessed factory
acceptance test. This test would be held at the Petrotech facility located in New
Orleans. This test would take approximately Four (4) days to accomplish and
during this test, all functions, hardware, software graphics and any other system
related equipment or software would be tested and approved by the customer
prior to shipment to the customer location.
Engineering and drafting services to document all changes and or modifications
to the system once the FAT is completed and finalize the system drawing
package.
Engineering services to prepare proper and complete system documentation for
the project. Operations manuals, operating procedures and other related
manufacturer manuals and information will be compiled into a system manual
that will be furnished on CD-ROM.
Shipping preparation.
CONFIDENTIAL Page 13 of 20
Proposal 19-0065
Revision 1
DETAILED SCOPE OF SUPPLY
ITEM 2.0 — COMMISSIONING SERVICES
May 13, 2019
ITEM QTY. DESCRIPTION
2.1 GOODS INCLUDED IN ITEM 2.0
2.1.1 1 Lot Materials and special tools for use by the Commissioning Engineer to
commission the provided Control System. All special tools remain property of
Petrotech.
2.2
2.2.1
1 Lot
SERVICES INCLUDED IN ITEM 2.0
One (1) Petrotech Rotating Machinery Control (RMC) Specialist to be on site
for a period of Ten (10) days, working an 10-hour day, seven (7) days per week
to complete the commissioning and startup of the Petrotech provided controls
upgrade hardware. The commissioning engineer with the assistance of the
Customer Installation Technicians will provide the following services:
• Checkout the installation of the equipment
• Perform Loop Check for all the I/O.
• Startup of the machine
• Load test to customer performance requirements.
Note: This Item assumes that all end devices are in good conditions and have
been calibrated by the customer.
Note: Commissioning services assume it will be done on one (1) trip of
the Petrotech RMC Specialist. Additional mobilization -
demobilizations, if required, will be charged at T&M rates.
CONFIDENTIAL Page 14 of 20
Proposal 19-0065
Revision 1
DETAILED SCOPE OF SUPPLY
ITEM 3.0 — OPTIONAL TRAINING SERVICES
May 13, 2019
ITEM QTY. DESCRIPTION
3.1 GOODS INCLUDED IN ITEM 3.0
3.1.1 1 Lot Training materials for up to five (5) attendees that would consist of the following
items:
3.2
3.2.1
3.2.2
3.3
3.3.1
1 Lot
1 Lot
• System Operations and Maintenance Manual
• System Drawing Package
• Troubleshooting
• Training Class Outline
SERVICES INCLUDED IN ITEM 3.0
Petrotech engineering services to prepare the site specific training class for the
material to be covered.
One (1) Petrotech engineer to be on site for a period of two (2) days to conduct
a training course for up to Five (5) participants.
SERVICES NOT INCLUDED IN ITEM 3.0
Mobilization -Demobilization charges are not included in this proposal. It is
assumed that training would be accomplished during the time the
commissioning engineer is still on site prior to leaving. If this is not the case
then separate travel time and expenses would be added.
CONFIDENTIAL Page 15 of 20
Proposal 19-0065
Revision 1
Section 4. Commercial
May 13, 2019
Pricing
Base price includes the following items:
Item 1.0-2.0 GE Frame 3 Balance of Plant integrated in an Allen Bradley ControlLogix PLC
Platform with Commissioning Services as defined by Detailed Scope of Supply, Item
1.0-2.0
Price Item 1.0-2.0: $ 205,127.00
Options:
Item 3.0 Training Services as defined by Detailed Scope of Supply, Item 3.0.
Price Item 3.0: $ 10,385.00
Item 4.0 Additional Services not included in the Scope of Work above.
Price Item 4.0: T&M Rates
Shipment From receipt of valid purchase order 14-16 weeks
Currencv All currency listed in this proposal is U.S. Dollars
Proposal Validity 30 days
Shipping Terms Ex -Works
Crating Instructions ❑ DOMESTIC ❑ SEA ❑ AIR ® UNCRATED
Payment Terms Petrotech's quote is based on progress payments per the
following milestones:
25% - with acceptance of purchase order
25% - with delivery of preliminary engineering submittal to the
customer
30% - with completion of successful factory acceptance test at
Petrotech's facility in New Orleans, LA, USA.
10% - Upon Readiness of shipment from Petrotech's facility
10% - Upon Completion of the Commissioning Services
Terms and Conditions Petrotech commercial terms and conditions apply.
CONFIDENTIAL Page 16 of 20
Proposal 19-0065 May 13, 2019
Revision 1
Warranty Petrotech offers a standard limited warranty in accordance with
Petrotech Bulletin 03007, "Limited Warranty".
Taxes Petrotech's quote is exclusive of all taxes. This includes but is
not limited to, state, county, contractor, sales, or any other
similar levy that may be required.
End Devices This proposal is exclusive of external devices and systems not
specifically detailed in this offer.
Fuel System Petrotech intends to retain and reuse the existing fuel control
valve and existing primary and secondary fuel stop valves.
Fire & Gas System This proposal is exclusive of any Fire & Gas detection
equipment. The existing Fire & Gas equipment will be retained
and reused.
Additional Work Any additional work, including delays caused by factors out of
Petrotech's control, shall be billed on a Time & Material basis
in accordance with Petrotech published service rates.
System Training Petrotech has provided for system on -site training of customer
personnel. This would be for up to Five (5) attendees for this
training session that would take two (2) days to complete.
Confidentiality This proposal is an offer to sell. It is a commercial response to
provide specific application information and documentation.
This offer is considered confidential and may contain forward -
looking statements or proprietary information. By acceptance
of the proposal, purchaser agrees to maintain vendor
confidentiality, not distribute beyond purchaser's company or
its assigns, or reuse in whole or part beyond the scope the
original purchase realization.
CONFIDENTIAL Page 17 of 20
Proposal 19-0065
Revision 1
Section 5. References
May 13, 2019
GEMCO/Total in Elf, Congo. Petrotech completed the upgrade of Four (4) GE Frame 3 Turbines
Generators including upgrade of instrumentation, and complete rewiring of the turbine control to the
skid. The Provided Control System was based on an Industrial PLC Platform based on Simplex CPU
configuration, Redundant Communication, and Simplex I/O.
Project Contact: Yann Pigaglio
Email: yann.pigaglio ggemco.fr
Phone: +33 (0) 5 59 72 74 90
Columbia Pipeline Group in Ceredo, WV. Petrotech completed the upgrade of One (1) GE Frame
3 Turbines including upgrade of instrumentation, and complete rewiring of the turbine control to the
skid. The Provided Control System was based on an Industrial PLC Platform based on Simplex CPU
configuration, Redundant Communication, and Simplex I/O.
Eastern Generation at Gowanus, Astoria, and Narrows Stations in Brooklyn, NY
• Petrotech completed forty-one (41) GE Frame 5 turbine upgrades (ten Power Blocks) part of
multi -unit, multi -year contracts to upgrade all customer's units. Our first contract was the
upgrade of 16 units simultaneously. The most recent 4-unit power block was completed in
early 2017. Upgrades included gas turbine and generator controls and for some units
conversion to dual fuel with all mechanical, electrical, and instrumentation work associated
with the project.
• At Narrows Station:
o Sixteen (16) GE Gas Turbine Generators Control and Protection System Upgrade —
DECS-40ON Excitation Systems
0 29600 kVA generators
o Allen Bradley ControlLogix Platform
o Wonderware InTouch HMI
Project Contact: Emmett Facquet
Email: efacquet@uspowergen.com
Phone: 718-499-2058
• City of Columbia, Missouri. Petrotech Completed Four (4) GE Frame 6b DLN Turbine
Generator Control System Upgrade using Allen Bradley ControlLogix platform with
redundant CPU configuration. In addition, Petrotech Upgraded of the Balance of Plant
(BOP) Control System for the Four (4) GE Frame 6B using Allen Bradley ControlLogix
platform with redundant CPU configuration.
Project Contact: John Gerke
Email: john.gerke@como.gov
Phone: 573 814-2731
CONFIDENTIAL
Page 18 of 20
Proposal 19-0065
Revision 1
May 13, 2019
• Sempra, California. Petrotech completed Upgrade the Balance of the Plant (BOP) Control
System for the Four (4) GE Gas Turbines using Allen Bradley ControlLogix platform with
Simplex CPU configuration.
More references can be submitted upon request.
CONFIDENTIAL Page 19 of 20
Proposal 19-0065 May 13, 2019
Revision 1
Section 6. Literature/Attachments
Petrotech Applications and Capabilities Document 10005
Petrotech Limited Warranty Bulletin 03007
Petrotech ISO Certificate ISO 9001
Petrotech Standard Terms & Conditions (US) Rev. 3
GE Frame 3 Gas Turbine Generator Package 14001
Bid Bond
Certificate of Insurance
CONFIDENTIAL Page 20 of 20
HUTCHINSON UTILITIES COMMISSION
B
Board Action Form
mmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmm
Agenda Item: Approval 2nd Amendment to Natural Gas Transportation Agreement
Presenter: John Webster
Agenda Item Type:
Time Requested (Minutes): 2
New Business
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
This 2nd Amendment to Natural Gas Transportation Agreement allows TDK/HTI to
participate in Hutchinson Utilities' Commodity PrePay Purchase Program.
Approval of this Agreement allows Hutchinson Utilities to assist one of its industrial
customers in controlling their natural gas commodity costs.
The impact to Hutchinson Utilities is minimal. The Director of the Natural Gas Division
will work with TDK/HTI to procure and manage all natural gas contracts.
BOARD ACTION REQUESTED:
Approval of 2nd Amendment to Natural Gas Transportation Agreement
Fiscal Impact: $0.00
Included in current budget: Budget Change:
PROJECT SECTION:
Total Project Cost: Remaining Cost;
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