cp12-27-22HUTCHINSON CITY COUNCIL
MEETING AGENDA
TUESDAY, DECEMBER 27, 2022
CITY CENTER — COUNCIL CHAMBERS
(The City Council is provided background information for agenda items in advance by city staff' committees and boards. Many
decisions regarding agenda items are based upon this information as well as: City policy and practices, inputfrom constituents,
and other questions or information that has not yet been presented or discussed regarding an agenda item)
1. CALL MEETING TO ORDER — 5:30 P.M.
(a) Approve the Council agenda and any agenda additions and/or corrections
2. INVOCATION —None
(The invocation is a voluntary expression of theprivate citizen, to and for the City Council, and is not intended to affiliate the
City Council with, or express the City Council's preference or, any religious/spiritual organization. The views or beliefs
expressed by the invocation speaker have not been previous y reviewed or approved by the Council or staff)
3. PLEDGE OF ALLEGIANCE
4. RECOGNITION OF GIFTS, DONATIONS AND COMMUNITY SERVICE TO THE CITY
(a) Proclamation — One Book, One Community
(b) Resolution No. 15540 — Resolution Accepting $100.00 Donation from Keith & Lisa Kamrath for
Upcoming Shady Ridge Playground Improvements
(c) Resolution No. 15546 — Resolution Accepting $2000.00 Donation from the Village Ranch to the
Hutchinson Police Department Towards Future Equipment Purchases
PUBLIC COMMENTS
(T is is an opportunity or members of the public to address the City Council. If the topic you would like to discuss is on the
agenda, please ask the Mayor if he will be acceptingpublic comments during the agenda item if not a public hearing. Ifyou have
a question, concern or comment, please ask to be recognized by the mayor —state your name and address for the record. Please
keep comments under 5 minutes. Individuals wishing to speakfor more than five minutes should ask to be included on the agenda
in advance of the meeting. All comments are appreciated, butplease refrain from personal or derogatory attacks on individuals)
5. CITIZENS ADDRESSING THE CITY COUNCIL
6. APPROVAL OF MINUTES
(a) Regular Meeting of December 13, 2022
CONSENT AGENDA
(The items listedjor consi eration will be enacted by one motion unless the Mayor, a member of the City Council or
a city staff member requests an item to be removed. Traditionally items are not discussed)
7. APPROVAL OF CONSENT AGENDA
(a) Appointment of Wanda Lambert to Public Arts Commission to August 2025
(b) Consideration for Approval of Resolution No. 15541 — Resolution Establishing Polling
Locations for 2023
(c) Consideration for Approval of Resolution No. 15542 — MnDOT Agency Agreement
CITY COUNCIL AGENDA —December 27, 2022
(d) Consideration for Approval of Resolution No. 15543 — Resolution Adopting Findings of Fact and
Reasons for Approval of Conditional Use Permit for Apartment Project in an R-4 Zoning District
Located at Michael Court NW With Favorable Planning Commission Recommendation
(e) Consideration for Approval of Resolution No. 15547 — Resolution Authorizing an Interfund Loan
for Advance of Certain Costs in Connection With Tax Increment Financing District Nos. 4-5 and 4-
16
(f) Consideration for Approval of Purchasing Brush Chipper
(g) Consideration for Approval of Purchasing Biosolids Spreader
(h) Consideration for Approval of Issuing Short -Term Gambling License to McLeod County Pheasants
Forever on March 11, 2023, at McLeod County Fairgrounds
(i) Consideration for Approval of 2023 License Renewals (Massage License - Shantelle Huls; Taxi
Service License - Quality Transportation)
0) Consideration for Approval of Lease Agreement With Rodney and Leann Olson
(k) Consideration for Approval Intercreditor Agreement for Firelake Manufacturing, LLC
(1) Claims, Appropriations and Contract Payments
PUBLIC HEARINGS — 6:00 P.M. - NONE
purpose o this portion o the agenda is to provide the Councilwith information necessary to craft wise policy.
ides items like monthly or annual reports and communications from other entities.)
8. REVIEW OF COUNCIL MEMBER APPOINTMENTS TO CITY BOARDS AND
COMMISSIONS
UNFINISHED BUSINESS
9. APPROVE/DENY RESOLUTION NO. 15519 — ADOPTING THE 2023 CITY OF HUTCHINSON
FEE SCHEDULE
NEW BUSINESS
10. APPROVE/DENY UTILITY SERVICE REPAIR POLICY
11. APPROVE/DENY FIRST READING OF ORDINANCE NO. 22-836 - AN ORDINANCE
AMENDING CHAPTER 53 OF THE HUTCHINSON CITY CODE
12. APPROVE/DENY JEFFERSON STREET SE TURNBACK AGREEMENT
13. APPROVE/DENY RESOLUTION NO. 15544 - RESOLUTION ADOPTING 2023
2
CITY COUNCIL AGENDA —December 27, 2022
COMPENSATION PLAN, POSITION CLASSIFICATION TABLE AND PAY GRID EFFECTIVE
1/1/2023
14. APPROVE/DENY RESOLUTION NO. 15545 — RESOLUTION ADOPTING PAID ON -CALL
FIREFIGHTER COMPENSATION PLAN EFFECTIVE 1/1/2023
15. APPROVE/DENY RESOLUTION NO. 15534 — RESOLUTION ADOPTING 2023 GENERAL
FUND BUDGET
16. APPROVE/DENY RESOLUTION NO. 15535 — RESOLUTION ADOPTING THE 2023
GENERAL FUND AND DEBT SERVICE FINAL TAX LEVIES
17. APPROVE/DENY 2023 ENTERPRISE FUND BUDGETS
(a) Resolution No.
15528
— Resolution Approving 2023 Liquor Fund Budget
�b) Resolution No.
15529
— Resolution Approving 2023 Water Fund Budget
c) Resolution No.
15530
— Resolution Approving 2023 Wastewater Fund Budget
Resolution No.
15531
— Resolution Approving 2023 Stormwater Fund Budget
�d)
e) Resolution No.
15532
— Resolution Approving 2023 Refuse Fund Budget
(f) Resolution No.
15533
— Resolution Approving 2023 Compost Fund Budget
18. APPROVE/DENY RESOLUTION NO. 15536 — RESOLUTION ADOPTING 2023 HRA FINAL
TAX LEVY
19. APPROVE/DENY RESOLUTION NO. 15537 — RESOLUTION ADOPTING 2023 EDA FINAL
TAX LEVY
20. APPROVE/DENY FIVE YEAR CAPITAL IMPROVEMENT PLAN
GOVERNANCE
(The purpose o t is portion of the agenda is to deal with organizational development issues, including policies,
performances, and other matters that manage the logistics of the organization. May include monitoring reports,
policy development and governance process items)
21. MINUTES/REPORTS FROM COMMITTEES, BOARDS OR COMMISSIONS
(a) Library Board Minutes from October 20, 2022
(b) Public Arts Commission Minutes from November 9, 2022
(c) Hutchinson Housing & Redevelopment Authority Board Minutes from November 15, 2022
(d) Planning Commission Minutes from November 15, 2022
(e) City of Hutchinson Financial Report and Investment Report for November 2022
(f) 2022 Annual Residential Leaf Vacuum Service Report
MISCELLANEOUS
22. STAFF UPDATES
23. COUNCIL/MAYOR UPDATE
ADJOURNMENT
C
PROCLAMATION
Whereas: The City of Hutchinson believes connecting citizens as individuals in
a common purpose is a powerful means of building a stronger
community,
Whereas: The City of Hutchinson believes strong communities create a stable
and supportive society,
Whereas: The City of Hutchinson believes citizens of all ages who feel a sense
of belonging tend to lead happier and healthier lives,
Whereas: The City of Hutchinson recognizes that the "One Book, One
Community" choice of Diane Wilson's The Seed Keeper expands a
sense of community through a wide-ranging discussion.
Now, Therefore,
I, Gary Forcier, Mayor of Hutchinson, Minnesota, do hereby proclaim the month of
January 2023 as
"One Book, One Community" Month
IN WITNESS WHEREOF, I have hereunto set my hand this 27' day of December, 2022
Gary T. Forcier, Mayor
City of Hutchinson, Minnesota
CITY OF HUTCHINSON
RESOLUTION NO. 15540
RESOLUTION ACCEPTING DONATION
WHEREAS, the City of Hutchinson is generally authorized to accept donations of real and
personal property pursuant to Minnesota Statutes Section 465.03 for the benefit of its citizens,
and is specifically authorized to accept gifts and bequests for the benefit of recreational services
pursuant to Minnesota Statutes Section 471.17; and
WHEREAS, the following persons or entities have offered to contribute the cash amounts
set forth below to the city:
Name of Donor Amount Donation Date
Keith & Lisa Kamrath $100.00 12/7/2022
WHEREAS, such a donation has been contributed to the City of Hutchinson Parks
Department towards the upcoming Shady Ridge Playground Improvements.
WHEREAS, the City Council finds that it is appropriate to accept the donation offered.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
HUTCHINSON, MINNESOTA, AS FOLLOWS:
THAT, the donation described above is hereby accepted by the City of Hutchinson.
Adopted by the City Council this 27th day of December 2022.
ATTESTED:
Matthew Jaunich
City Administrator
APPROVED:
Gary T. Forcier
Mayor
CITY OF HUTCHINSON
RESOLUTION NO. 15546
RESOLUTION ACCEPTING DONATION
WHEREAS, the City of Hutchinson is generally authorized to accept donations of real and
personal property pursuant to Minnesota Statutes Section 465.03 for the benefit of its citizens,
and is specifically authorized to accept gifts and bequests for the benefit of recreational services
pursuant to Minnesota Statutes Section 471.17; and
WHEREAS, the following persons or entities have offered to contribute the cash amounts
set forth below to the city:
Name of Donor Amount Donation Date
Village Ranch Inc $2,000.00 12/13/2022
WHEREAS, such a donation has been contributed to the City of Hutchinson Police
Department towards future equipment purchases.
WHEREAS, the City Council finds that it is appropriate to accept the donation offered.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
HUTCHINSON, MINNESOTA, AS FOLLOWS:
THAT, the donation described above is hereby accepted by the City of Hutchinson.
Adopted by the City Council this 27th day of December 2022.
ATTESTED:
Matthew Jaunich
City Administrator
APPROVED:
Gary T. Forcier
Mayor
HUTCHINSON CITY COUNCIL
MEETING MINUTES
TUESDAY, DECEMBER 13, 2022
CITY CENTER — COUNCIL CHAMBERS
('The City Council is provided background information for agenda items in advance by city staff, committees and boards. Many
decisions regarding agenda items are based upon this information as well as: City policy and practices, inputfrom constituents,
and other questions or information that has not yet been presented or discussed regarding an agenda item)
1. CALL MEETING TO ORDER — 5:30 P.M.
(a) Approve the Council agenda and any agenda additions and/or corrections
Matt Jaunich, City Administrator, noted that an item needs to be added to the agenda and will be
added as Item 15.5. The item is a lease agreement for consideration. He also noted that an updated
fee scheduled has been distributed as related to Item 19.
Motion by Christensen, second by Sebesta, to approve agenda with revisions noted. Motion carried
unanimously.
2. INVOCATION — Oak Heights Covenant Church
(The invocation is a voluntary expression of theprivate citizen, to and for the City Council, and is not intended to affiliate the
City Council with, or express the City Council's preference for, any religiouslspiritual organization. The views or beliefs
expressed by the invocation speaker have not been previously reviewed or approved by the Council or staff)
3. PLEDGE OF ALLEGIANCE
4. RECOGNITION OF GIFTS, DONATIONS AND COMMUNITY SERVICE TO THE CITY
Council Member Christensen thanked all city staff involved with decorating the city for the
Christmas season.
(a) Proclamation — Michael Cannon Week
Mayor Forcier read a proclamation proclaiming December 12-18, 2022, as Michael Cannon
week in Hutchinson.
(b) Resolution No. 15525 — Resolution Accepting $1625.00 Donation from Hutchinson Lions Club
for Improvements to Lions Park
Representatives from the Hutchinson Lions Club presented the donation to the mayor and
Council and thanked everyone for supporting the organization.
(c) Resolution No. 15526 — Resolution Accepting $1317.50 Donation from Today's Women of
Hutchinson to Hutchinson Fire Department for Fireman's Park Project
Motion by Czmowski, second by Christensen, to approve Resolution Nos. 1552.5 and 1.5526.
Motion carried unanimously.
PUBLIC COMMENTS
(This is an opportunityor members of the public to address the City Council. If the topic you would like to discuss is on the
agenda, please ask the Mayor if he will be acceptingpublic comments during the agenda item if not a public hearing. Ifyou have
a question, concern or comment, please ask to e recognized by the mayor —state your name and address for the record. Please
keep comments under 5 minutes. Individuals wishing to speakfor more than five minutes should ask to be included on the agenda
in advance of the meeting. All comments are appreciated, butplease refrain from personal or derogatory attacks on individuals)
5. CITIZENS ADDRESSING THE CITY COUNCIL
CITY COUNCIL MINUTES — December 13, 2022
6. APPROVAL OF MINUTES
(a) Regular Meeting of November 22, 2022
(b) Summary of City Administrator Performance Review of December 6, 2022
(c) Truth in Taxation Hearing Minutes of December 6, 2022
Motion by May, second by Sebesta, to approve the minutes as presented. Motion carried
unanimously.
CONSENT AGENDA
(The items listedjor consideration will be enacted by one motion unless the Mayor, a member of the City Council or
a city staff member requests an item to be removed. Traditionally items are not discussed)
7. APPROVAL OF CONSENT AGENDA
(a) Affirmation of Boards/Commissions Appointments
1. Appointment of Aric Jensen to Bicycle/Pedestrian Advisory Committee to August 2025
2. Appointment of Priscilla Rauch to Senior Advisory Board to January 2026
3. Reappointment of Matt Cheney to Hutchinson Utilities Commission to December 2027
(b) Consideration for Approval of Issuing Massage License to Shantelle Huls at 903 Hwy 15 South
(c) Consideration for Approval of Issuing Temporary Liquor License to Bobbing Bobber Brewing
Company on December 24, 2022
(d) Consideration for Approval of Application to Conduct Off -Site Gambling for Hutchinson
Hockey Association Inc. on January 21, 2023, at Crow River Golf Club
(e) Consideration for Approval of 2023 License Renewals
(f) Consideration for Approval of City Assessment Agreement with McLeod County for 2023
Services
(g) Consideration for Approval of MPCA Stormwater Grant
(h) Consideration for Approval of Resolution No. 15524 — Resolution Establishing Traffic Control
Device (No Parking on Roberts Road SW — Alan Street SW to Dale Street SW)
(i) Claims, Appropriations and Contract Payments
Motion by Christensen, second by Czmowski, to approve consent agenda. Motion carried
unanimously.
PUBLIC HEARINGS — 6:00 P.M.
APPROVE/DENY ITEMS FOR 2023 PAVEMENT IMPROVEMENTS PROJECT (LETTING NO. 2,
PROJECT NO. 22-02, 23-02, 22-03)
(a) Resolution No. 15520 - Ordering Improvement and Preparation of Plans and Specifications
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CITY COUNCIL MINUTES — December 13, 2022
(b) Resolution No. 15521 -Approving Plans and Specifications and Ordering Advertisement for Bids
John Olson, Interim Public Works Director, presented before the Council. Mr. Olson
explained that this project includes mill -overlay on Century Avenue SW (Dale Street SW to
Boston Street) and School Road NW (between Golf Course Road NW and North High Drive
NW) and to construct a bituminous trail along the north/west side of Hwy 15 South between
Grove Street SW and Linden Avenue SW. The estimated project costs are estimated at
approximately $710,000. Funding for this project will be a combination of Municipal State
Aid funds, City utility funds, funds from issuing an improvement bond and funds from special
assessment to abutting properties. Mr. Olson spoke about proposed assessments,
meetings/hearings process, and the schedule and construction items. The project is
anticipated to start in the summer of 2023 and be completed in the fall of 2023.
Mark Bullert, 951 Golf Course Road, presented before the Council. Mr. Bullert noted that his
property has no access to School Road and the only access is to Golf Course Road. Due to
this, he is requesting that the School Road assessment be removed from his property. Mr.
Olson noted that he can put a report together on the property and provide it to the Council.
Mr. Jaunich also noted that tonight is not an assessment hearing and they will be addressed at
a future hearing, although Mr. Bullert's request is on the record.
Arthur Kasal, 1085 Dale Street, presented before the Council. Mr. Kasal noted that he is a
homeowner at Community of Lakeridge. Mr. Kasal spoke about some issues related to the
new overlay that was put in near his property at a driveway entrance. Mr. Olson noted this
will be corrected as part of the overlay project on Century Avenue.
Motion by Czmowski, second by Christensen, to close public hearing. Motion carried
unanimously.
Matt Jaunich explained that tonight's action is to move forward with bidding out the project,
receiving the bids and then holding an assessment hearing once bid project costs are received.
Motion by May, second by Czmowski, to approve Resolution Nos. 15520 and 15521. Motion
carried unanimously.
9. APPROVE/DENY ITEMS FOR ALLEY IMPROVEMENTS (LETTING NO.3, PROJECT NO.23-03,
23-04)
(a) Resolution No. 15522 - Ordering Improvement and Preparation of Plans and Specifications
(b) Resolution No. 15523 -Approving Plans and Specifications and Ordering Advertisement for Bids
John Olson, Interim Public Works Director, presented before the Council. Mr. Olson
explained that this project includes improvements to Alley 912 (between James Street NW
and Glen Street NW) and Alley 955 between Jefferson Street SE and Adams Street SE. Both
of these alleys are partially paved and staff is recommending to fully pave these alleys while
addressing storm water drainage. Work proposed includes reclamation of existing pavement,
grading and new bituminous pavement, new concrete curb & gutter, installation of storm
water drains, landscaping and restoration. The estimated project costs are approximately
$202,000 and funding for the project will be a combination of City utility funds, funds from
issuing an improvement bond and funds from special assessments to abutting properties. Mr.
Olson spoke about proposed assessments, meetings/hearings process and the schedule and
construction items. The project is anticipated to start in the summer of 2023 and be
completed in the fall of 2023.
Ian McDonald, Jefferson Street property owner, presented before the Council. Mr. McDonald
spoke about a low area on his property and he requested when the drainage system is being
put in that he be allowed to participate so that his drainage issues can be addressed. Mr.
McDonald also clarified that a curb will be placed on his side of the alley, which can be
CITY COUNCIL MINUTES — December 13, 2022
driven across.
Motion by Christensen, second by May, to close public hearing. Motion carried unanimously.
Motion by May, second by Sebesta, to approve Resolution Nos. 15522 and 15523. Motion
carried unanimously.
MMUNICATIONS REQUESTS AND PETITIONS
purpose o this portion oj the agenda is to provide the ounci with information necessary to craft wise policy.
Ides items like monthly or annual reports and communications from other entities.)
10. UPDATE FROM RIVERSONG COMMITTEE
Valerie Mackenthun, Riversong Committee, presented before the Council. Ms. Mackenthun
requested the City's continued support for the RiverSong Music festival being held this summer
July 14 & 15, 2023. Ms. Mackenthun presented a $4000 check to the Council as their ongoing
payment for the updates to the Masonic West River stage. Ms. Mackenthun spoke about overall
improvements made by the committee and about future improvements.
11. REVIEW OF TRUTH IN TAXATION HEARING
Matt Jaunich, City Administrator, provided an overview of items covered at the truth in taxation
hearing held last week. He asked if the Council had any further discussion items for staff before
they finalize the budget that will be presented at the December 27, 2022, City Council meeting. Mr.
Jaunich shared 2022 data from other cities that he recently received as compared to 2021 data that
was shared at the truth in taxation hearing. One data point was that the City was ranked the 5th
highest in tax rates for 2021 of other outstate regional centers and is now ranked 91h in the 2022 data.
No other comments were received from the Council.
12. REVIEW OF PROPOSED UTILITY SERVICE REPAIR POLICY
John Olson, Interim Public Works Director, provided a review of a proposed utility service repair
policy. Mr. Olson explained that several years ago the city instituted a policy to address water
service repairs between the main and curb stop of a homeowner's property. The maximum coverage
established was $4000. Water customers are charged $.50/month for this service. Costs to make
service repairs have gone up significantly over the last few years and it is no longer unusual for
repairs to exceed the $4000 maximum coverage. To address the cost of repairing/replacing water
and wastewater services, insurance companies have begun to offer coverage and the coverage can be
quite high. Staff is recommending the Council to consider expanding the current policy to include
repair/replacement of water and wastewater services from the main up to approximately four feet
from the building/structure (all work on private property would require a written agreement). Staff
is recommending to institute a $2/month charge ($1/water, $ 1 /wastewater) and provide maximum
coverage of $8500 per incident, anticipating approximately 14 incidents per year.
Matt Jaunich noted that the proposed service fee change has been included on the revised fee
schedule that was distributed tonight, although the policy itself will need to be approved. The policy
will be presented at the next Council meeting for consideration.
13. REVIEW OF PROPOSED WATER AND SEWER UTILITY RATES
John Olson, Interim Public Works Director, presented before the Council. Mr. Olson explained that
following a water/wastewater utility rate study conducted by SEH a few years ago, the decision was
0
CITY COUNCIL MINUTES — December 13, 2022
made to implement new rates beginning in 2023. A number of efforts were undertaken to
communicate the impact of a new water/wastewater utility rate structure including mailings and
electronic communication. In addition, multi -family customers were invited to an informal meeting
to review rate structures and industrial user customers were provided information about new rates at
semi-annual meetings. Mr. Olson reviewed the proposed base rates for single-family residential
users, multi -family residential users and commercial/industrial users. He also reviewed commodity
rates for residential users and commercial/industrial users. Mr. Olson reviewed an irrigation rate
that is included with the new rate structure. Mr. Olson noted that a typical single-family resident
will not see much of a change in their monthly bill with the new rates. He noted that a typical multi-
family user will see an increase in the base charge but a decrease in the commodity rate. A typical
commercial/industrial user will also see an increase in the base charge but a decrease in the
commodity rate. The focus with the new rate structure was to create a fair equitable rate structure
amongst users.
Matt Jaunich noted the new rate structure is included in the proposed fee schedule.
UNFINISHED BUSINESS
NEW BUSINESS
14. APPROVE/DENY PURCHASE AGREEMENT WITH JANIS RANNOW FOR 135 GLEN
STREET SW
Miles Seppelt, Economic Development Director, presented before the Council. Mr. Seppelt
explained that the downtown redevelopment project of the city block bounded by Franklin and Glen
Streets is ready to move forward. Part of the project includes acquiring three properties on the west
side of the city block. A FEMA grant was received to aid in acquiring the properties. The Rannow
property is being purchased for $246,000 and the Olson property is being purchased for $330,000.
Staff is requesting that the Council approve the purchase agreements with Janis Rannow and Rodney
and Leann Olson, along with Resolutions authorizing to pay relocation benefits as required by law.
In addition, there is a short lease agreement that staff is requesting the City enter into with Janis
Rannow for her to lease the property she is selling for seven weeks until she can get into her new
home. The lease is being proposed to be renewable on a month -to -month basis if necessary up to
June 30, 2023.
Motion by Czmowski, second by May, to approve purchase agreement with Janis Rannow for 135
Glen Street SW. Motion carried unanimously.
15. APPROVE/DENY RESOLUTION NO. 15538 - RESOLUTION TO PAY RELOCATION
BENEFITS AS REQUIRED BY LAW (RANNOW PROPERTY)
Discussion noted above.
Motion by Czmowski, second by May, to approve Resolution No. 15538. Motion carried
unanimously.
15.5 APPROVE/DENY PROPERTY LEASE WITH JANIS RANNOW FOR 135 GLEN STREEET SW
CITY COUNCIL MINUTES — December 13, 2022
Discussion noted above.
Motion by Czmowski, second by Christensen, to approve property lease with Janis Rannow. Motion
carried unanimously.
16. APPROVE/DENY PURCHASE AGREEMENT WITH RODNEY AND LEANN OLSON FOR 145
GLEN STREET SW
Discussion noted above.
Motion by Czmowski, second by Christensen, to approve purchase agreement with Rodney and
Leann Olson for 145 Glen Street SW. Motion carried unanimously.
17. APPROVE/DENY RESOLUTION NO. 15539 — RESOLUTION TO PAY RELOCATION
BENEFITS AS REQUIRED BY LAW (OLSON PROPERTY)
Discussion noted above.
Motion by Czmowski, second by May, to approve Resolution No. 15539. Motion carried
unanimously.
18. APPROVE/DENY UPDATED SAFETY CLOTHING AND PPE POLICY
Andy Reid, Finance Director, presented before the Council. Mr. Reid noted that staff is
recommending some increases to the maximum reimbursement amounts for employee safety
footwear and eyewear which have not been increased since 2015. Since that last increase the
consumer price index has increased by over 25%. Staff is making the request to increase the
maximum reimbursement amounts to account for rising costs and to encourage employees to buy
quality footwear/eyewear.
Motion by May, second by Christensen, to approve Resolution No. 15519. Motion carried
unanimously.
19. APPROVE/DENY RESOLUTION NO. 15519 — ADOPTING THE 2023 CITY OF HUTCHINSON
FEE SCHEDULE
Matt Jaunich asked if the Council had questions on any of the proposed changes or additions to the
fee schedule. Again, the utility rate structure is included on the fee schedule along with some
changes to Park & Rec fees and assessment rates and some other changes.
Council Member Christensen asked about the rental rate for the pavilion when users rent the Depot.
Council Member Christensen noted that perhaps the Depot rental rate should be raised and then the
pavilion be included with the Depot rental rate. The current fee schedule has a rental rate for the
depot and a rental rate for the pavilion and she expressed that some users have informed her they
were not aware that when renting the depot the pavilion was not included.
CITY COUNCIL MINUTES — December 13, 2022
Motion by Czmowski, second by Christensen, to table approval of Resolution No. 15519 so that the
Depot/Pavilion rental rate can be clarified. Motion carried unanimously.
20. APPROVE/DENY SETTING ORGANIZATIONAL MEETING FOR JANUARY 3, 2023
Motion by May, second by Christensen, to set organizational meeting for January 3, 2023, at 9:00
a.m. Motion carried unanimously.
GOVERNANCE
(T e purpose o t is portion of the agenda is to deal with organizational development issues, including policies,
performances, and other matters that manage the logistics of the organization. May include monitoring reports,
policy development and governance process items.)
21. MINUTES/REPORTS FROM COMMITTEES, BOARDS OR COMMISSIONS
(a) Sustainability Advisory Board Meeting Minutes from June 20, 2022
(b) Economic Development Authority Board Minutes from October 26, 2022
MISCELLANEOUS
22. STAFF UPDATES
Matt Jaunich — Mr. Jaunich noted that City offices will be closed December 26, 2022, in observance of
Christmas Day. He also noted that the League of Minnesota Cities is holding elected official trainings
in January and February so interested council members should let him know if they would like to
attend.
23. COUNCIL/MAYOR UPDATE
Mayor Forcier — Mayor Forcier asked of Matt Jaunich if the Council should begin the process for
renewing the sales tax sometime soon since it sunsets in 2026. Mr. Jaunich noted that the ground
work will begin to be laid in 2023 with the new City Council and the City needs to be cognizant of
the legislative schedules. The main things for the Council to consider is what project(s) the sales
tax would be used for. The current local sales tax brought in $1.9 million in 2022.
ADJOURNMENT
Motion by May, second by Czmowski, to adjourn at 7:30 p.m. Motion carried unanimously.
7
cR HUTCHINSON CITY COUNCIL
K.J_"'_"*H1NSCW Request for Board Action
A CITY ON PURPOSE.
Resolution Establishing Polling Locations for 2023
Agenda Item:
Department: Administration/Elections
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: M. Starke/M. Jaunich
Agenda Item Type:
Presenter: M. Starke/M. Jaunich
Reviewed by Staff ❑�
New Business
Time Requested (Minutes):
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
State law requires that municipalities establish polling locations within the city by December 31 st
of each year. No changes are being requested to the polling places that were used for the
primary and general elections held in 2022. The polling place locations are as follows:
Precinct 1 - Ridgewater College - 2 Century Avenue SE
Precinct 2 - Days Inn - 1000 Hwy 7 West
Precinct 3 - Recreation Center - 900 Harrington Street
BOARD ACTION REQUESTED:
Approve Resolution No. 15541 - Establishing Polling Place Locations for 2023
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
Resolution No. 15541
A RESOLUTION OF THE CITY OF HUTCHINSON, MINNESOTA,
ESTABLISHING POLLING PLACE LOCATIONS FOR 2023
WHEREAS, pursuant to Minnesota Statute Section 204B.16, the governing body
of each municipality and of each county with precincts in unorganized territory must
designate by ordinance or resolution a polling place for each election precinct by
December 31 of each year,
NOW THEREFORE BE IT FURTHER RESOLVED that the City Council of the
City of Hutchinson, County of McLeod, State of Minnesota hereby establishes the polling
place locations as follows:
Precinct 1 (Ridgewater College, 2 Century Avenue SE — east entrance, Door 21)
Precinct 2 (Days Inn, 1000 Hwy 7 West — east entrance)
Precinct 3 (Recreation Center, 900 Harrington Street)
Adopted by the City Council this 271h day of December, 2022.
ATTEST:
Gary T. Forcier, Mayor Matthew Jaunich, City Administrator
FR
Fs HUTCHINSON CITY COUNCIL
HUTCHINSON Request for Board Action
A CITY ON PURPOSE.
MnDOT Agency Agreement
Agenda Item:
Department: PW/Eng
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 0
License Contingency I,.: ,
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
MnDOT serves as the agent for receipt of federal funds. The agency agreement is updated as
needed and covers the roles and responsibilities of MnDOT and the City pertaining to receipt of
federal funds. In the agreement, MnDOT is named as the City's agent in accepting funds for
construction projects.
Recent updates include: Identification numbers used for federal funding projects, allowing
electronic signatures, a certification the City hasn't been barred from receiving federal funds,
discrimination language, Build America & Buy American domestic procurement preferences and
prohibition of certain telecommunications and surveillance equipment.
Mayor Forcier and City Administrator Jaunich have been identified in the resolution as
signatories to the agreement.
BOARD ACTION REQUESTED:
Consideration of approving agency agreement with MnDOT
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source: N/A
RESOLUTION NO. 15542
MNDOT AGENCY AGREEMENT
BE IT RESOLVED, that pursuant to Minnesota Stat. Sec. 161.36, the Commissioner of
Transportation be appointed as Agent of the local agency to accept as its agent, federal aid funds
which may be made available for eligible transportation related projects.
BE IT FURTHER RESOLVED, the Mayor and the City Administrator are hereby authorized and
directed for and on behalf of the local agency to execute and enter into an agreement with the
Commissioner of Transportation prescribing the terms and conditions of said federal aid
participation as set forth and contained in Minnesota Department of Transportation Agency
Agreement, a copy of which said agreement was before the City Council and which is made a
part hereof by reference.
Adopted by the City Council this 27th day of December, 2022.
Gary Forcier, Mayor
ATTEST:
Matt Jaunich, City Administrator
RESOLUTION CERTIFICATION
STATE OF MINNESOTA
MCLEOD COUNTY
CITY OF HUTCHINSON
I hereby certify that the foregoing Resolution is a true and correct copy of the Resolution
presented to and adopted by local agency name at a duly authorized meeting thereof held on the
27th day of December, 2022, as shown by the minutes of said meeting in my possession.
Clerk/Auditor
Notary Public
My Commission expires
MnDOT Contract No. 1052180
DEPARTMENT OF
TRANSPORTATION
STATE OF MINNESOTA
AGENCY AGREEMENT
for
FEDERAL PARTICIPATION IN CONSTRUCTION
This Agreement is entered into by and between City of Hutchinson ("Local Government") and the State of Minnesota
acting through its Commissioner of Transportation ("MnDOT").
RECITALS
Pursuant to Minnesota Statutes Section 161.36, the Local Government desires MnDOT to act as the Local
Government's agent in accepting federal funds on the Local Government's behalf for the construction,
improvement, or enhancement of transportation financed either in whole or in part by Federal Highway
Administration ("FHWA") federal funds, hereinafter referred to as the "Project(s)"; and
2. This Agreement is intended to cover all federal aid projects initiated by the Local Government and therefore has
no specific State Project number associated with it, and
2.1. The Assistance Listing Number (ALN) is 20.205, 20.224, 20.933 or another Department of Transportation
ALN as listed on SAM.gov and
2.2. This project is for construction, not research and development.
2.3. MnDOT requires that the terms and conditions of this agency be set forth in an agreement.
AGREEMENT TERMS
1. Term of Agreement; Prior Agreement
1.1. Effective Date. This Agreement will be effective on the date that MnDOT obtains all required signatures
under Minn. Stat. §16C.05, Subd. 2. This Agreement will remain effective until it is superseded or
terminated pursuant to section 14.
1.2. Prior Agreement. This Agreement supersedes the prior agreement between the parties, MnDOT Contract
Number 1029957.
Local Government's Duties
2.1. Designation. The Local Government designates MnDOT to act as its agent in accepting federal funds on its
behalf made available for the Project(s). Details on the required processes and procedures are available on
the State Aid Website.
2.2. Staffing.
2.2.1. The Local Government will furnish and assign a publicly employed and licensed engineer, ("Project
Engineer"), to be in responsible charge of the Project(s) and to supervise and direct the work to be
performed under any construction contract let for the Project(s). In the alternative, where the Local
Government elects to use a private consultant for construction engineering services, the Local
Government will provide a qualified, full-time public employee of the Local Government to be in
responsible charge of the Project(s). The services of the Local Government to be performed hereunder
may not be assigned, sublet, or transferred unless the Local Government is notified in writing by
MnDOT that such action is permitted under 23 CFR 1.33 and 23 CFR 635.105 and state law. This
Updated November 7, 2022
MnDOT Contract No. 1052180
written consent will in no way relieve the Local Government from its primary responsibility for
performance of the work.
2.2.2. During the progress of the work on the Project(s), the Local Government authorizes its Project
Engineer to request in writing specific engineering and/or technical services from MnDOT, pursuant to
Minnesota Statutes Section 161.39. Such services may be covered by other technical service
agreements. If MnDOT furnishes the services requested, and if MnDOT requests reimbursement, then
the Local Government will promptly pay MnDOT to reimburse the state trunk highway fund for the full
cost and expense of furnishing such services. The costs and expenses will include the current MnDOT
labor additives and overhead rates, subject to adjustment based on actual direct costs that have been
verified by audit. Provision of such services will not be deemed to make MnDOT a principal or co-
principal with respect to the Project(s).
2.3. Pre -letting. The Local Government will prepare construction contracts in accordance with Minnesota law
and applicable Federal laws and regulations.
2.3.1. The Local Government will solicit bids after obtaining written notification from MnDOT that the FHWA
has authorized the Project(s). Any Project(s) advertised prior to authorization without permission will
not be eligible for federal reimbursement.
2.3.2. The Local Government will prepare the Proposal for Highway Construction for the construction
contract, which will include all federal -aid provisions supplied by MnDOT.
2.3.3. The Local Government will prepare and publish the bid solicitation for the Project(s) as required by
state and federal laws. The Local Government will include in the solicitation the required language for
federal -aid construction contracts as supplied by MnDOT. The solicitation will state where the
proposals, plans, and specifications are available for the inspection of prospective bidders and where
the Local Government will receive the sealed bids.
2.3.4. The Local Government may not include other work in the construction contract for the authorized
Project(s) without obtaining prior notification from MnDOT that such work is allowed by FHWA.
Failure to obtain such notification may result in the loss of some or all of the federal funds for the
Project(s). All work included in a federal contract is subject to the same federal requirements as the
federal project.
2.3.5. The Local Government will prepare and sell the plan and proposal packages and prepare and
distribute any addenda, if needed.
2.3.6. The Local Government will receive and open bids.
2.3.7. After the bids are opened, the Local Government will consider the bids and will award the bid to the
lowest responsible bidder or reject all bids. If the construction contract contains a goal for
Disadvantaged Business Enterprises (DBEs), the Local Government will not award the bid until it has
received certification of the Disadvantaged Business Enterprise participation from the MnDOT Office
of Civil Rights.
2.3.8. The Local Government must disclose in writing any potential conflict of interest to the Federal
awarding agency or MnDOT in accordance with applicable FHWA policy.
2.4. Contract Administration.
2.4.1. The Local Government will prepare and execute a construction contract with the lowest responsible
bidder, hereinafter referred to as the "Contractor," in accordance with the special provisions and the
latest edition of MnDOT's Standard Specifications for Construction when the contract is awarded and
all amendments thereto. All contracts between the Local Government and third parties or
subcontractors must contain all applicable provisions of this Agreement, including the applicable
MnDOT Contract No. 1052180
federal contract clauses, which are identified in Appendix II of 2 CFR 200, Uniform Administrative
Requirements, Cost Principles and Audit Requirements for Federal Awards, and as identified in Section
18 of this Agreement.
2.4.2. The Project(s) will be constructed in accordance with the plans, special provisions, and standard
specifications of each Project. The standard specifications will be the latest edition of MnDOT
Standard Specifications for Highway Construction and all amendments thereto. The plans, special
provisions, and standard specifications will be on file at the Local Government Engineer's Office. The
plans, special provisions, and specifications are incorporated into this Agreement by reference as
though fully set forth herein.
2.4.3. The Local Government will furnish the personnel, services, supplies, and equipment necessary to
properly supervise, inspect, and document the work for the Project(s). The services of the Local
Government to be performed hereunder may not be assigned, sublet, or transferred unless the Local
Government is notified in writing by MnDOT that such action is permitted under 23 CFR 1.33 and 23
CFR 635.105 and state law. This written consent will in no way relieve the Local Government from its
primary responsibility for performance of the work.
2.4.4. The Local Government will document quantities in accordance with the guidelines set forth in the
Construction Section of the Electronic State Aid Manual that are in effect at the time the work was
performed.
2.4.5. The Local Government will test materials in accordance with the Schedule of Materials Control in
effect at the time each Project was let. The Local Government will notify MnDOT when work is in
progress on the Project(s) that requires observation by the Independent Assurance Inspector, as
required by the Independent Assurance Schedule.
2.4.6. The Local Government may make changes in the plans or the character of the work, as may be
necessary to complete the Project(s), and may enter into Change Order(s) with the Contractor. The
Local Government will not be reimbursed for any costs of any work performed under a change order
unless MnDOT has notified the Local Government that the subject work is eligible for federal funds
and sufficient federal funds are available.
2.4.7. The Local Government will request approval from MnDOT for all costs in excess of the amount of
federal funds previously approved for the Project(s) prior to incurring such costs. Failure to obtain
such approval may result in such costs being disallowed for reimbursement.
2.4.8. The Local Government will prepare reports, keep records, and perform work so as to meet federal
requirements and to enable MnDOT to collect the federal aid sought by the Local Government.
Required reports are listed in the MnDOT State Aid Manual, Delegated Contract Process Checklist,
available from MnDOT's authorized representative. The Local Government will retain all records and
reports and allow MnDOT or the FHWA access to such records and reports for six years.
2.4.9. Upon completion of the Project(s), the Project Engineer will determine whether the work will be
accepted.
2.5. Limitations.
2.5.1. The Local Government will comply with all applicable Federal, State, and local laws, ordinances, and
regulations.
2.5.2. Nondiscrimination. It is the policy of the Federal Highway Administration and the State of Minnesota
that no person in the United States will, on the grounds of race, color, or national origin, be excluded
from participation in, be denied the benefits of, or be subjected to discrimination under any program
or activity receiving Federal financial assistance (42 U.S.C. 2000d). Through expansion of the mandate
MnDOT Contract No. 1052180
for nondiscrimination in Title VI and through parallel legislation, the proscribed bases of discrimination
include race, color, sex, national origin, age, and disability. In addition, the Title VI program has been
extended to cover all programs, activities and services of an entity receiving Federal financial
assistance, whether such programs and activities are Federally assisted or not. Even in the absence of
prior discriminatory practice or usage, a recipient in administering a program or activity to which this
part applies is expected to take affirmative action to assure that no person is excluded from
participation in, or is denied the benefits of, the program or activity on the grounds of race, color,
national origin, sex, age, or disability. It is the responsibility of the Local Government to carry out the
above requirements.
2.5.3. Utilities. The Local Government will treat all public, private or cooperatively owned utility facilities
which directly or indirectly serve the public and which occupy highway rights of way in conformance
with 23 CFR 645 "Utilities", which is incorporated herein by reference.
2.6. Maintenance. The Local Government assumes full responsibility for the operation and maintenance of any
facility constructed or improved under this Agreement.
MnDOT's Duties
3.1. Acceptance. MnDOT accepts designation as Agent of the Local Government for the receipt and disbursement
of federal funds and will act in accordance herewith.
3.2. Project Activities.
3.2.1. MnDOT will make the necessary requests to the FHWA for authorization to use federal funds for the
Project(s) and for reimbursement of eligible costs pursuant to the terms of this Agreement.
3.2.2. MnDOT will provide to the Local Government copies of the required Federal -aid clauses to be included
in the bid solicitation and will provide the required Federal -aid provisions to be included in the Proposal
for Highway Construction.
3.2.3. MnDOT will review and certify the DBE participation and notify the Local Government when certification
is complete. If certification of DBE participation (or good faith efforts to achieve such participation)
cannot be obtained, then Local Government must decide whether to proceed with awarding the
contract. Failure to obtain such certification will result in the Project becoming ineligible for federal
assistance, and the Local Government must make up any shortfall.
3.2.4. MnDOT will provide the required labor postings.
3.3. Authority. MnDOT may withhold federal funds, where MnDOT or the FHWA determines that the Project(s)
was not completed in compliance with federal requirements.
3.4. Inspection. MnDOT, the FHWA, or duly authorized representatives of the state and federal government will
have the right to audit, evaluate and monitor the work performed under this Agreement. The Local
Government will make all books, records, and documents pertaining to the work hereunder available for a
minimum of six years following the closing of the construction contract.
4. Time
4.1. The Local Government must comply with all time requirements described in this Agreement. In the
performance of this Agreement, time is of the essence.
4.2. The period of performance is defined as beginning on the date of federal authorization and ending on the
date defined in the federal financial system or federal agreement ("end date"). No work completed after
the end date will be eligible for federal funding. Local Government must submit all contract close out
paperwork to MnDOT at least twenty-four months prior to the end date.
4
MnDOT Contract No. 1052180
Payment
5.1. Cost. The entire cost of the Project(s) is to be paid from federal funds made available by the FHWA and by
other funds provided by the Local Government. The Local Government will pay any part of the cost or
expense of the Project(s) that is not paid by federal funds. MnDOT will receive the federal funds to be paid
by the FHWA for the Project(s), pursuant to Minnesota Statutes § 161.36, Subdivision 2. MnDOT will
reimburse the Local Government, from said federal funds made available to each Project, for each partial
payment request, subject to the availability and limits of those funds.
5.2. Indirect Cost Rate Proposal/Cost Allocation Plan. If the Local Government seeks reimbursement for indirect
costs and has submitted to MnDOT an indirect cost rate proposal or a cost allocation plan, the rate proposed
will be used on a provisional basis. At any time during the period of performance or the final audit of a
Project, MnDOT may audit and adjust the indirect cost rate according to the cost principles in 2 CFR Part
200. MnDOT may adjust associated reimbursements accordingly.
5.3. Reimbursement. The Local Government will prepare partial estimates in accordance with the terms of the
construction contract for the Project(s). The Project Engineer will certify each partial estimate. Following
certification of the partial estimate, the Local Government will make partial payments to the Contractor in
accordance with the terms of the construction contract for the Project(s).
5.3.1. Following certification of the partial estimate, the Local Government may request reimbursement for
costs eligible for federal funds. The Local Government's request will be made to MnDOT and will
include a copy of the certified partial estimate.
5.3.2. Upon completion of the Project(s), the Local Government will prepare a final estimate in accordance
with the terms of the construction contract for the Project(s). The Project Engineer will certify the
final estimate. Following certification of the final estimate, the Local Government will make the final
payment to the Contractor in accordance with the terms of the construction contract for the
Project(s).
5.3.3. Following certification of the final estimate, the Local Government may request reimbursement for
costs eligible for federal funds. The Local Government's request will be made to MnDOT and will
include a copy of the certified final estimate along with the required records.
5.3.4. Upon completion of the Project(s), MnDOT will perform a final inspection and verify the federal and
state eligibility of all payment requests. If the Project is found to have been completed in accordance
with the plans and specifications, MnDOT will promptly release any remaining federal funds due the
Local Government for the Project(s). If MnDOT finds that the Local Government has been overpaid,
the Local Government must promptly return any excess funds.
5.3.5. In the event MnDOT does not obtain funding from the Minnesota Legislature or other funding source,
or funding cannot be continued at a sufficient level to allow for the processing of the federal aid
reimbursement requests, the Local Government may continue the work with local funds only, until
such time as MnDOT is able to process the federal aid reimbursement requests.
5.4. Matching Funds. Any cost sharing or matching funds required of the Local Government in this Agreement
must comply with 2 CFR 200.306.
5.5. Federal Funds. Payments under this Agreement will be made from federal funds. The Local Government is
responsible for compliance with all federal requirements imposed on these funds and accepts full financial
responsibility for failure to comply with any federal requirements including, but not limited to, 2 CFR Part
200. If, for any reason, the federal government fails to pay part of the cost or expense incurred by the Local
Government, or in the event the total amount of federal funds is not available, the Local Government will be
responsible for any and all costs or expenses incurred under this Agreement. The Local Government further
MnDOT Contract No. 1052180
agrees to pay any and all lawful claims arising out of or incidental to the performance of the work covered
by this Agreement in the event the federal government does not pay the same.
5.6. Closeout. The Local Government must liquidate all obligations incurred under this Agreement for each
Project and submit all financial, performance, and other reports as required by the terms of this Agreement
and the Federal award at least twenty-four months prior to the end date of the period of performance for
each Project. MnDOT will determine, at its sole discretion, whether a closeout audit is required prior to final
payment approval. If a closeout audit is required, final payment will be held until the audit has been
completed. Monitoring of any capital assets acquired with funds will continue following project closeout.
6. Conditions of Payment. All services provided by Local Government under this Agreement must be performed to
MnDOT's satisfaction, as determined at the sole discretion of MnDOT's Authorized Representative, and in
accordance with all applicable federal, state, and local laws, ordinances, rules, and regulations. The Local
Government will not receive payment for work found by MnDOT to be unsatisfactory or performed in violation of
federal, state, or local law.
7. Authorized Representatives
7.1. MnDOT's Authorized Representative is:
Name: Kristine Elwood, or her successor.
Title: State Aid Engineer
Phone: 651-366-4831
Email: Kristine.elwood@state.mn.us
MnDOT's Authorized Representative has the responsibility to monitor Local Government's performance and
the authority to accept the services provided under this Agreement. If the services are satisfactory,
MnDOT's Authorized Representative will certify acceptance on each invoice submitted for payment.
7.2. The Local Government's Authorized Representative is:
Name: Matt Jaunich or their successor.
Title: Hutchinson City City Administrator
Phone: 320-234-5650
Email: mjaunich@hutchinsommn.gov
If the Local Government's Authorized Representative changes at any time during this Agreement, the Local
Government will immediately notify MnDOT.
8. Assignment Amendments, Waiver, and Agreement Complete
8.1. Assignment. The Local Government may neither assign nor transfer any rights or obligations under this
Agreement without the prior written consent of MnDOT and a fully executed Assignment Agreement,
executed and approved by the same parties who executed and approved this Agreement, or their successors
in office.
8.2. Amendments. Any amendment to this Agreement must be in writing and will not be effective until it has
been executed and approved by the same parties who executed and approved the original agreement, or
their successors in office.
8.3. Waiver. If MnDOT fails to enforce any provision of this Agreement, that failure does not waive the provision
or MnDOT's right to subsequently enforce it.
8.4. Agreement Complete. This Agreement contains all negotiations and agreements between MnDOT and the
N.
MnDOT Contract No. 1052180
Local Government. No other understanding regarding this Agreement, whether written or oral, may be used
to bind either party.
8.5. Severability. If any provision of this Agreement, or the application thereof, is found to be invalid or
unenforceable to any extent, the remainder of the Agreement, including all material provisions and the
application of such provisions, will not be affected and will be enforceable to the greatest extent permitted
by the law.
8.6. Electronic Records and Signatures. The parties agree to contract by electronic means. This includes using
electronic signatures and converting original documents to electronic records.
8.7. Certification. By signing this Agreement, the Local Government certifies that it is not suspended or
debarred from receiving federal or state awards.
9. Liability and Claims
9.1. Tort Liability. Each party is responsible for its own acts and omissions and the results thereof to the extent
authorized by law and will not be responsible for the acts and omissions of any others and the results
thereof. The Minnesota Tort Claims Act, Minnesota Statutes Section 3.736, governs MnDOT liability.
9.2. Claims. The Local Government acknowledges that MnDOT is acting only as the Local Government's agent
for acceptance and disbursement of federal funds, and not as a principal or co -principal with respect to the
Project. The Local Government will pay any and all lawful claims arising out of or incidental to the Project
including, without limitation, claims related to contractor selection (including the solicitation, evaluation,
and acceptance or rejection of bids or proposals), acts or omissions in performing the Project work, and any
ultra vires acts. To the extent permitted bylaw, the Local Government will indemnify, defend (to the
extent permitted by the Minnesota Attorney General), and hold MnDOT harmless from any claims or costs
arising out of or incidental to the Project(s), including reasonable attorney fees incurred by MnDOT. The
Local Government's indemnification obligation extends to any actions related to the certification of DBE
participation, even if such actions are recommended by MnDOT.
10. Audits
10.1. Under Minn. Stat. § 16C.05, Subd.S, the books, records, documents, and accounting procedures and
practices of the Local Government, or any other party relevant to this Agreement or transaction, are subject
to examination by MnDOT and/or the State Auditor or Legislative Auditor, as appropriate, for a minimum of
six years from the end of this Agreement, receipt and approval of all final reports, or the required period of
time to satisfy all state and program retention requirements, whichever is later. The Local Government will
take timely and appropriate action on all deficiencies identified by an audit.
10.2. All requests for reimbursement are subject to audit, at MnDOT's discretion. The cost principles outlined in 2
CFR 200.400-.476 will be used to determine whether costs are eligible for reimbursement under this
Agreement.
10.3. If Local Government expends $750,000 or more in Federal Funds during the Local Government's fiscal year,
the Local Government must have a single audit or program specific audit conducted in accordance with 2
CFR Part 200.
11. Government Data Practices. The Local Government and MnDOT must comply with the Minnesota Government
Data Practices Act, Minn. Stat. Ch. 13, as it applies to all data provided by MnDOT under this Agreement, and as it
applies to all data created, collected, received, stored, used, maintained, or disseminated by the Local
Government under this Agreement. The civil remedies of Minn. Stat. §13.08 apply to the release of the data
referred to in this clause by either the Local Government or MnDOT.
12. Workers Compensation. The Local Government certifies that it is in compliance with Minn. Stat. §176.181, Subd.
2, pertaining to workers' compensation insurance coverage. The Local Government's employees and agents will
MnDOT Contract No. 1052180
not be considered MnDOT employees. Any claims that may arise under the Minnesota Workers' Compensation
Act on behalf of these employees and any claims made by any third party as a consequence of any act or omission
on the part of these employees are in no way MnDOT's obligation or responsibility.
13. Governing Law, Jurisdiction, and Venue. Minnesota law, without regard to its choice -of -law provisions, governs
this Agreement. Venue for all legal proceedings out of this Agreement, or its breach, must be in the appropriate
state or federal court with competent jurisdiction in Ramsey County, Minnesota.
14. Termination; Suspension
14.1. Termination by MnDOT. MnDOT may terminate this Agreement with or without cause, upon 30 days
written notice to the Local Government. Upon termination, the Local Government will be entitled to
payment, determined on a pro rata basis, for services satisfactorily performed.
14.2. Termination for Cause. MnDOT may immediately terminate this Agreement if MnDOT finds that there has
been a failure to comply with the provisions of this Agreement, that reasonable progress has not been
made, that fraudulent or wasteful activity has occurred, that the Local Government has been convicted of a
criminal offense relating to a state agreement, or that the purposes for which the funds were granted have
not been or will not be fulfilled. MnDOT may take action to protect the interests of MnDOT of Minnesota,
including the refusal to disburse additional funds and/or requiring the return of all or part of the funds
already disbursed.
14.3. Termination for Insufficient Funding. MnDOT may immediately terminate this Agreement if:
14.3.1. It does not obtain funding from the Minnesota Legislature; or
14.3.2. If funding cannot be continued at a level sufficient to allow for the payment of the services covered
here. Termination must be by written or fax notice to the Local Government. MnDOT is not
obligated to pay for any services that are provided after notice and effective date of termination.
However, the Local Government will be entitled to payment, determined on a pro rata basis, for
services satisfactorily performed to the extent that funds are available. MnDOT will not be assessed
any penalty if the Agreement is terminated because of the decision of the Minnesota Legislature, or
other funding source, not to appropriate funds. MnDOT will provide the Local Government notice of
the lack of funding within a reasonable time of MnDOT's receiving that notice.
14.4. Suspension. MnDOT may immediately suspend this Agreement in the event of a total or partial government
shutdown due to the failure to have an approved budget by the legal deadline. Work performed by the
Local Government during a period of suspension will be deemed unauthorized and undertaken at risk of
non-payment.
15. Data Disclosure. Under Minn. Stat. § 270C.65, Subd. 3, and other applicable law, the Local Government consents
to disclosure of its social security number, federal employer tax identification number, and/or Minnesota tax
identification number, already provided to MnDOT, to federal and state tax agencies and state personnel involved
in the payment of state obligations. These identification numbers may be used in the enforcement of federal and
state tax laws which could result in action requiring the Local Government to file state tax returns and pay
delinquent state tax liabilities, if any.
16. Fund Use Prohibited. The Local Government will not utilize any funds received pursuant to this Agreement to
compensate, either directly or indirectly, any contractor, corporation, partnership, or business, however
organized, which is disqualified or debarred from entering into or receiving a State contract. This restriction
applies regardless of whether the disqualified or debarred party acts in the capacity of a general contractor, a
subcontractor, or as an equipment or material supplier. This restriction does not prevent the Local Government
from utilizing these funds to pay any party who might be disqualified or debarred after the Local Government's
contract award on this Project.
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MnDOT Contract No. 1052180
17. Discrimination Prohibited by Minnesota Statutes §181.59. The Local Government will comply with the provisions
of Minnesota Statutes §181.59 which requires that every contract for or on behalf of the State of Minnesota, or
any county, city, town, township, school, school district or any other district in the state, for materials, supplies or
construction will contain provisions by which Contractor agrees: 1) That, in the hiring of common or skilled labor
for the performance of any work under any contract, or any subcontract, no Contractor, material supplier or
vendor, will, by reason of race, creed or color, discriminate against the person or persons who are citizens of the
United States or resident aliens who are qualified and available to perform the work to which the employment
relates; 2) That no Contractor, material supplier, or vendor, will, in any manner, discriminate against, or
intimidate, or prevent the employment of any person or persons identified in clause 1 of this section, or on being
hired, prevent or conspire to prevent, the person or persons from the performance of work under any contract on
account of race, creed or color; 3) That a violation of this section is a misdemeanor; and 4) That this contract may
be canceled or terminated by the state of Minnesota, or any county, city, town, township, school, school district or
any other person authorized to contracts for employment, and all money due, or to become due under the
contract, may be forfeited for a second or any subsequent violation of the terms or conditions of this Agreement.
18. Federal Contract Clauses
18.1. Appendix II 2 CFR Part 200. The Local Government agrees to comply with the following federal
requirements as identified in 2 CFR 200, Uniform Administrative Requirements, Cost Principles and Audit
Requirements for Federal Awards, and agrees to pass through these requirements to its subcontractors and
third -party contractors, as applicable. In addition, the Local Government shall have the same meaning as
"Contractor" in the federal requirements listed below.
18.1.1. Contracts for more than the simplified acquisition threshold, which is the inflation adjusted amount
determined by the Civilian Agency Acquisition Council and the Defense Acquisition Regulations
Council (Councils) as authorized by 41 U.S.C. 1908, must address administrative, contractual, or legal
remedies in instances where contractors violate or breach contract terms, and provide for such
sanctions and penalties as appropriate.
18.1.2. All contracts in excess of $10,000 must address termination for cause and for convenience by the
non -Federal entity including the manner by which it will be effected and the basis for settlement.
18.1.3. Equal Employment Opportunity. Except as otherwise provided under 41 CFR Part 60, all contracts
that meet the definition of "federally assisted construction contract" in 41 CFR Part 60-1.3 must
include the equal opportunity clause provided under 41 CFR 60-1.4(b), in accordance with Executive
Order 11246, "Equal Employment Opportunity" (30 FR 12319, 12935, 3 CFR Part, 1964-1965 Comp.,
p. 339), as amended by Executive Order 11375, "Amending Executive Order 11246 Relating to Equal
Employment Opportunity," and implementing regulations at 41 CFR part 60, "Office of Federal
Contract Compliance Programs, Equal Employment Opportunity, Department of Labor."
18.1.4. Davis -Bacon Act, as amended (40 U.S.C. 3141-3148). When required by Federal program legislation,
all prime construction contracts in excess of $2,000 awarded by non -Federal entities must include a
provision for compliance with the Davis -Bacon Act (40 U.S.C. 3141-3144, and 3146-3148) as
supplemented by Department of Labor regulations (29 CFR Part 5, "Labor Standards Provisions
Applicable to Contracts Covering Federally Financed and Assisted Construction"). In accordance with
the statute, contractors must be required to pay wages to laborers and mechanics at a rate not less
than the prevailing wages specified in a wage determination made by the Secretary of Labor. In
addition, contractors must be required to pay wages not less than once a week. The non -Federal
entity must place a copy of the current prevailing wage determination issued by the Department of
Labor in each solicitation. The decision to award a contract or subcontract must be conditioned
upon the acceptance of the wage determination. The non -Federal entity must report all suspected
or reported violations to the Federal awarding agency. The contracts must also include a provision
MnDOT Contract No. 1052180
for compliance with the Copeland "Anti -Kickback" Act (40 U.S.C. 3145), as supplemented
by Department of Labor regulations (29 CFR Part 3, "Contractors and Subcontractors on Public
Building or Public Work Financed in Whole or in Part by Loans or Grants from the United States").
The Act provides that each contractor or subrecipient must be prohibited from inducing, by any
means, any person employed in the construction, completion, or repair of public work, to give up
any part of the compensation to which he or she is otherwise entitled. The non -Federal entity must
report all suspected or reported violations to the Federal awarding agency.
18.1.5. Contract Work Hours and Safety Standards Act (40 U.S.C. 3701-3708). Where applicable, all
contracts awarded by the non -Federal entity in excess of $100,000 that involve the employment of
mechanics or laborers must include a provision for compliance with 40 U.S.C. 3702 and 3704, as
supplemented by Department of Labor regulations (29 CFR Part 5). Under 40 U.S.C. 3702 of the Act,
each contractor must be required to compute the wages of every mechanic and laborer on the basis
of a standard work week of 40 hours. Work in excess of the standard work week is permissible
provided that the worker is compensated at a rate of not less than one and a half times the basic
rate of pay for all hours worked in excess of 40 hours in the work week. The requirements of 40
U.S.C. 3704 are applicable to construction work and provide that no laborer or mechanic must be
required to work in surroundings or under working conditions which are unsanitary, hazardous or
dangerous. These requirements do not apply to the purchases of supplies or materials or articles
ordinarily available on the open market, or contracts for transportation or transmission of
intelligence.
18.1.6. Rights to Inventions Made Under a Contract or Agreement. If the Federal award meets the definition
of "funding agreement" under 37 CFR § 401.2 (a) and the recipient or subrecipient wishes to enter
into a contract with a small business firm or nonprofit organization regarding the substitution of
parties, assignment or performance of experimental, developmental, or research work under that
"funding agreement," the recipient or subrecipient must comply with the requirements of 37 CFR
Part 401, "Rights to Inventions Made by Nonprofit Organizations and Small Business Firms Under
Government Grants, Contracts and Cooperative Agreements," and any implementing regulations
issued by the awarding agency.
18.1.7. Clean Air Act (42 U.S.C. 7401-7671q.) and the Federal Water Pollution Control Act (33 U.S.C. 1251-
1387), as amended - Contracts and subgrants of amounts in excess of $150,000 must contain a
provision that requires the non -Federal award to agree to comply with all applicable standards,
orders or regulations issued pursuant to the Clean Air Act (42 U.S.C. 7401-7671q) and the Federal
Water Pollution Control Act as amended (33 U.S.C. 1251-1387). Violations must be reported to the
Federal awarding agency and the Regional Office of the Environmental Protection Agency (EPA).
18.1.8. Debarment and Suspension (Executive Orders 12549 and 12689) - A contract award (see 2 CFR
180.220) must not be made to parties listed on the governmentwide exclusions in the System for
Award Management (SAM), in accordance with the OMB guidelines at 2 CFR 180 that implement
Executive Orders 12549 (3 CFR part 1986 Comp., p. 189) and 12689 (3 CFR part 1989 Camp., p. 235),
"Debarment and Suspension." SAM Exclusions contains the names of parties debarred, suspended,
or otherwise excluded by agencies, as well as parties declared ineligible under statutory or
regulatory authority other than Executive Order 12549.
18.1.9. Byrd Anti -Lobbying Amendment (31 U.S.C. 1352) - Contractors that apply or bid for an award
exceeding $100,000 must file the required certification. Each tier certifies to the tier above that it
will not and has not used Federal appropriated funds to pay any person or organization for
influencing or attempting to influence an officer or employee of any agency, a member of Congress,
officer or employee of Congress, or an employee of a member of Congress in connection with
obtaining any Federal contract, grant or any other award covered by 31 U.S.C. 1352. Each tier must
10
MnDOT Contract No. 1052180
also disclose any lobbying with non -Federal funds that takes place in connection with obtaining any
Federal award. Such disclosures are forwarded from tier to tier up to the non -Federal award.
18.1.10. Local Government will comply with 2 CFR § 200.323.
18.1.11. Local Government will comply with 2 CFR § 200.216.
18.1.12. Local Government will comply with 2 CFR § 200.322.
18.2. Drug -Free Workplace. The Local Government will comply with the Drug -Free Workplace requirements
under subpart B of 49 C.F.R. Part 32.
18.3. Title VI/Non-discrimination Assurances. The Local Government hereby agrees that, as a condition of
receiving any Federal financial assistance under this Agreement, it will comply with Title VI of the Civil
Rights Act of 1964 (78 Stat. 252, 42 U.S.C. § 2000d), related nondiscrimination statutes (i.e., 23 U.S.C. § 324,
Section 504 of the Rehabilitation Act of 1973 as amended, and the Age Discrimination Act of 1975), and
applicable regulatory requirements to the end that no person in the United States shall, on the grounds of
race, color, national origin, sex, disability, or age be excluded from participation in, be denied the benefits
of, or otherwise be subjected to discrimination under any program or activity for which the Local
Government receives Federal financial assistance.
The Local Government hereby agrees to comply with all applicable US DOT Standard Title VI/Non-
Discrimination Assurances contained in DOT Order No. 1050.2A, and in particular Appendices A and E,
which can be found at: https://edocs-
public.dot.state.mn.us/edocs public/DMResultSet/download?docld=11149035. If federal funds are
included in any contract, the Local Government will ensure the appendices and solicitation language within
the assurances are inserted into contracts as required. State may conduct a review of the Local
Government's compliance with this provision. The Local Government must cooperate with State
throughout the review process by supplying all requested information and documentation to State, making
Local Government staff and officials available for meetings as requested, and correcting any areas of non-
compliance as determined by State.
18.4. Buy America. The Local Government must comply with the Buy America domestic preferences contained
in the Build America, Buy America Act (Sections 70901-52 of the Infrastructure Investment and Jobs
Act, Public Law 117-58) and as implemented by US DOT operating agencies.
18.5. Federal Funding Accountability and Transparency Act (FFATA)
18.5.1. This Agreement requires the Local Government to provide supplies and/or services that are funded
in whole or in part by federal funds that are subject to FFATA. The Local Government is responsible
for ensuring that all applicable requirements, including but not limited to those set forth herein, of
FFATA are met and that the Local Government provides information to the MnDOT as required.
Reporting of Total Compensation of the Local Government's Executives.
The Local Government shall report the names and total compensation of each of its five most
highly compensated executives for the Local Government's preceding completed fiscal year, if
in the Local Government's preceding fiscal year it received:
80 percent or more of the Local Government's annual gross revenues from Federal
procurement contracts and Federal financial assistance subject to the Transparency Act,
as defined at 2 CFR 170.320 (and subawards); and
$25,000,000 or more in annual gross revenues from Federal procurement contracts (and
subcontracts), and Federal financial assistance subject to the Transparency Act (and
subawards); and
11
MnDOT Contract No. 1052180
iii. The public does not have access to information about the compensation of the
executives through periodic reports filed under section 13(a) or 15(d) of the Securities
Exchange Act of 1934 (15 U.S.C. 78m(a), 78o(d)) or section 6104 of the Internal Revenue
Code of 1986. (To determine if the public has access to the compensation information,
see the U.S. Security and Exchange Commission total compensation filings at
https://www.sec.gov/answers/execomp.htm).
Executive means officers, managing partners, or any other employees in management
positions.
C. Total compensation means the cash and noncash dollar value earned by the executive during
the Local Government's preceding fiscal year and includes the following (for more information
see 17 CFR 229.402(c)(2)):
i. Salary and bonus.
ii. Awards of stock, stock options, and stock appreciation rights. Use the dollar amount
recognized for financial statement reporting purposes with respect to the fiscal year in
accordance with the Statement of Financial Accounting Standards No. 123 (Revised
2004) (FAS 123R), Shared Based Payments.
iii. Earnings for services under non -equity incentive plans. This does not include group life,
health, hospitalization or medical reimbursement plans that do not discriminate in favor
of executives, and are available generally to all salaried employees.
iv. Change in pension value. This is the change in present value of defined benefit and
actuarial pension plans.
V. Above -market earnings on deferred compensation which is not tax qualified.
18.5.2. Other compensation, if the aggregate value of all such other compensation (e.g. severance,
termination payments, value of life insurance paid on behalf of the employee, perquisites or
property) for the executive exceeds $10,000.
18.5.3. The Local Government must report executive total compensation described above to the MnDOT
by the end of the month during which this Agreement is awarded.
18.5.4. The Local Government will obtain a Unique Entity Identifier number and maintain this number for
the term of this Agreement. This number shall be provided to MnDOT on the plan review checklist
submitted with the plans for each Project.
18.5.5. The Local Government's failure to comply with the above requirements is a material breach of this
Agreement for which the MnDOT may terminate this Agreement for cause. The MnDOT will not be
obligated to pay any outstanding invoice received from the Local Government unless and until the
Local Government is in full compliance with the above requirements.
[THE REMAINDER OF THIS PAGE HAS INTENTIONALLY BEEN LEFT BLANK.]
12
MnDOT Contract No. 1052180
City of Hutchinson
Local Government certifies that the appropriate DEPARTMENT OF TRANSPORTATION
person(s) have executed the contract on behalf of the
Local Government as required by applicable articles,
bylaws, resolutions or ordinances.
a
Title:
Date:
By:
Title:
Date
13
M
Title:
Date:
COMMISSIONER OF ADMINISTRATION
LN
Date:
cR HUTCHINSON CITY COUNCIL
HUTCHINSON Request for Board Action
A CITY ON PURPOSE.
CONSIDERATION OF A CONDITIONAL USE PERMIT FOR APARTMENT
Agenda Item: BUILDINGS IN AN R-4 ZONING DISTRICT LOCATED ON MICHAEL CT. NW
Department: Planning
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Dan Jochum
Agenda Item Type:
Presenter: Dan Jochum
Reviewed by Staff M
Consent Agenda
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The subject lots were recently sold at auction in November of this year. These lots were platted
in 1978 and have sat vacant since that time. The applicant is looking at starting with building
one apartment building at 105 Michael Ct NW, which is the lot in the southwest corner. This lot
is the easiest to develop and can be constructed utilizing existing infrastructure. In order for the
rest of the lots to develop, Michael Court will need to be constructed as a City street and
appropriate utilities will need to be put in. That is a future phase. The plan right now is to issue
Conditional Use Permits for all of the lots in order to establish the use and each lot would be
reviewed individually through the building permit process in order to ensure compliance with all
applicable City rules and regulations.
Nobody from the public spoke at the public hearing. The applicant introduced himself and gave
a brief overview of the project. There was a question from the Planning Commission regarding
the rent price for this project. The owner said they don't want to be the most expensive or least
expensive. They want to be midpoint and focus on workforce housing.
The Planning Commission voted unanimously (5-0) to recommend approval of the Conditional
Use Permit for the project on Michael Ct NW.
BOARD ACTION REQUESTED:
Approval of Conditional Use Permit.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
CITY OF HUTCHINSON
MCLEOD COUNTY, MINNESOTA
RESOLUTION NO. 15543
RESOLUTION ADOPTING FINDINGS OF FACT AND REASONS FOR APPROVAL OF
CONDITIONAL USE PERMIT FOR AN APARTMENT PROJECT IN AN R-4 ZONING DISTRICT
LOCATED AT 105, 110, 115, 120 & 125 MICHAEL CT NW.
FACTS
1. IDC-Automatic LLC is the owner of parcels of land located at 105, 110, 115, 120 & 125 Michael Ct
NW, Hutchinson Minnesota; and,
2. The subject property is legally described as:
105 Michael Ct NW -
Lot 6, Block 1, Boyles Addition
110 Michael Ct NW
— Lot 2, Block 1, Boyles Addition
115 Michael Ct NW
— Lot 5, Block 1, Boyles Addition
120 Michael Ct NW
— Lot 3, Blockl, Boyles Addition
125 Michael Ct NW
— Lot 4, Block 1, Boyles Addition
3. Jamie Rosenlund has applied to the City for a conditional use permit for an apartment project in an R-
4 zoning district located at 105, 110, 115, 120 and 125 Michael Ct NW.
4. The Planning Commission met on December 21, 2022, and held a public hearing on the request and
considered the effects of the proposal on the health, safety, and welfare of the occupants of the
surrounding lands, existing and anticipated traffic conditions, and the effect on values of properties in
the surrounding area and consistency with the Comprehensive Plan, and hereby recommends approval
of the request subject to the following findings and conditions:
a. The proposed building and site improvements shall comply with the standards of the R-4
zoning district and the Zoning Ordinance, as well as all other City regulations.
b. Development of 110, 115, 120 and 125 Michael Ct NW require the construction of a street and
utilities to be built by the developer to City specifications. Fully engineered plans will be
required for this work.
c. Any reconstruction of existing infrastructure within City of Hutchinson right of way or
easement areas shall be the developer's responsibility, including necessary improvements and
associated costs. This work shall meet all of the City's engineering standards and be approved
by the City.
d. The City of Hutchinson must be notified 7 days prior to any roadway or utility work that is
going to be done within the City right of way. If the proposed work impacts roadway traffic
flow, a traffic plan must be submitted to the City Engineer for approval. All roadway work
must be fully completed to City standards within 10 calendar days of the original disturbance.
If the work isn't fully completed within 10 calendar days, the City reserves the right to have
the work completed and invoice/assess the property owner for all associated costs.
e. The drainage and utility easement need to be established around the perimeter of each lot per
City standards.
£ All parking lots must meet accessible parking standards.
g. There must be emergency service access around the buildings. Fire hydrants must be located
no farther than 400 feet from the buildings.
Findings of Fact — Resolution # 15543
Michael Ct NW Conditional Use Permit
Page 2
h. Any exterior refuse collection area(s) must be fully screened. The trash enclosure adjacent to
the residential homes on the northeast portion of the site shall be moved to a more appropriate
location.
i. The standards for granting a conditional use permit would be met, subject to the conditions
stated.
j. The conditional use permit shall remain in effect as long as the conditions required by the
permit are observed. Any expansion or intensification of the conditional use or change to
another conditional use requires approval of a new conditional use permit.
k. The Applicant must obtain all necessary permits for the construction of the proposed project.
5. The City Council of the City of Hutchinson reviewed the requested conditional use permit at its
meeting on December 27, 2022, and has considered the recommendation and findings of the Planning
Commission and hereby does recommend approval of the conditional use permit, subject to the
following findings and conditions:
a. The proposed building and site improvements shall comply with the standards of the R-4
zoning district and the Zoning Ordinance, as well as all other City regulations.
b. Development of 110, 115, 120 and 125 Michael Ct NW require the construction of a street and
utilities to be built by the developer to City specifications. Fully engineered plans will be
required for this work.
c. Any reconstruction of existing infrastructure within City of Hutchinson right of way or
easement areas shall be the developer's responsibility, including necessary improvements and
associated costs. This work shall meet all of the City's engineering standards and be approved
by the City.
d. The City of Hutchinson must be notified 7 days prior to any roadway or utility work that is
going to be done within the City right of way. If the proposed work impacts roadway traffic
flow, a traffic plan must be submitted to the City Engineer for approval. All roadway work
must be fully completed to City standards within 10 calendar days of the original disturbance.
If the work isn't fully completed within 10 calendar days, the City reserves the right to have
the work completed and invoice/assess the property owner for all associated costs.
e. The drainage and utility easement need to be established around the perimeter of each lot per
City standards.
f. All parking lots must meet accessible parking standards.
g. There must be emergency service access around the buildings. Fire hydrants must be located
no farther than 400 feet from the buildings.
h. Any exterior refuse collection area(s) must be fully screened. The trash enclosure adjacent to
the residential homes on the northeast portion of the site shall be moved to a more appropriate
location.
i. The standards for granting a conditional use permit would be met, subject to the conditions
stated.
j. The conditional use permit shall remain in effect as long as the conditions required by the
permit are observed. Any expansion or intensification of the conditional use or change to
another conditional use requires approval of a new conditional use permit.
k. The Applicant must obtain all necessary permits for the construction of the proposed project.
APPLICABLE LAW
6. The conditional use permit request meets the following standards as required in Sections 1.54.059 and
154.175 of the City of Hutchinson Municipal Code:
Findings of Fact — Resolution # 15543
Michael Ct NW Conditional Use Permit
Page 3
(a) The proposed building or use at the particular location requested is necessary or desirable to
provide a service or a facility which is in the interest of the public convenience and will
contribute to the general welfare of the neighborhood or community;
(b) The proposed building or use will not have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities and other matters
affecting the public health, safety and general welfare; and
(c) The proposed building or use will be designed, arranged and operated so as to permit the
development and use of neighboring property in accordance with the applicable district
regulations.
CONCLUSIONS OF THE LAW
7. The requested conditional use permit is consistent with the comprehensive plan.
The proposed use will not have a substantial or undue adverse effect upon adjacent property,
character of the neighborhood, traffic conditions, utility facilities and other matters affecting the
public health, safety and general welfare.
9. The proposed use will be designed, arranged and operated so as to permit the development and use of
neighboring property in accordance with the applicable district regulations
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Hutchinson, Minnesota, that the
application to issue a conditional use permit for an apartment project in an R-4 zoning district located at 105,
110, 115, 120 and 125 Michael Ct NW, Hutchinson MN is approved.
Adopted by the City Council this 27th day of December, 2022.
ATTEST:
Matthew Jaunich
City Administrator
Gary T. Forcier
Mayor
DIRECTORS REPORT — PLANNING DEPARTMENT
To: Hutchinson Planning Commission
From: Dan Jochum, AICP and City of Hutchinson Planning Staff
Date: December 16, 2022 for December 21, 2022 Planning Commission Meeting
Application: CONSIDERATION OF A CONDITIONAL USE PERMIT FOR AN APARTMENT PROJECT IN
AN R-4 ZONING DISTRICT LOCATED AT 105, 110, 115, 120 & 125 Michael Ct NW, JAMIE
ROSENLUND, APPLICANT.
Applicant: JAMIE ROSENLUND, APPLICANT
CONSIDERATION OF A CONDITIONAL USE PERMIT FOR 105, 110, 115, 120 & 125 Michael Ct NW.
N * Indicates property described in this notice
202ND CIRCLE
120 —
125
* 110
115
op
105 U t
NORTH HIGH DRIVE NW
Conditional Use Permit
Michael Ct NW
Planning Commission—12-21-22
Page 2
GENERAL INFORMATION
Existing Zoning: R-4 (Medium -High Density Residential District)
Property Location: 105, 110, 115, 120 & 125 Michael Ct NW.
Lot Size: Five lots ranging in size from 1 Acre to 1.25 Acres
Existing Land Use: Vacant R-4 Zoning District lots
Adjacent Land Use
And Zoning: R-4 (High Density Residential District)
Comprehensive
Land Use Plan: High Density Residential Neighborhood
Zoning History: Originally platted as Boyle's Addition in 1978. An apartment was built on lot 1 in 1978.
Applicable
Regulations: City Code of Ordinances Sections 154.059 and 154.175
Analysis:
The subject lots were recently sold at auction in November of this year. These lots were platted in 1978 and
have sat vacant since that time. The applicant is looking at starting with building one apartment building at 105
Michael Ct NW, which is the lot in the southwest corner. This lot is the easiest to develop and can be
constructed utilizing existing infrastructure. In order for the rest of the lots to develop, Michael Court will need
to be constructed as a City street and appropriate utilities will need to be put in. That is a future phase. The
plan right now is to issue Conditional Use Permits for all of the lots in order to establish the use and each lot
would be reviewed individually through the building permit process in order to ensure compliance with all
applicable City rules and regulations.
A full grading and engineering plan, as well as site plan review process will be required for the construction of
the street and utilities, as well as 110, 115, 120 and 125 Michael Ct NW. The first lot (105 Michael Ct. NW) is
relatively easy to service and has paved street access in front of it so staff will do the formal review of
everything with the building permit for that lot. This process also allows for the developer to possibly start
construction yet this winter, versus into Spring of 2023.
Staff is comfortable with this proposed process for the construction of the first lot. Within the R-4 Zoning
District apartments are allowed by Conditional Use Permit, there are no permitted uses.
The developer has included a preliminary concept for the entire piece of property. As noted above, full
engineering, utility and site plan review will need to be completed for everything other than 105 Michael Ct
NW to develop. For the purposes of this application the Planning Commission should focus on the concept for
105 Michael Ct NW and the building size and scale for the other lots. The concept plan may be refined and
building and parking lot locations moved slightly as more detailed study is completed.
Conditional Use Permit
Michael Ct NW
Planning Commission—12-21-22
Page 3
Buildings:
If the site were to be fully developed there will be five approximately 109'x 60' apartment buildings that would
have 16-20 units in each building, depending on the breakdown of bedroom types. The first lot, 105 Michael Ct
NW is proposed to be 16 units. The buildings are proposed to be two -stories tall. Refer to attached building
elevations for more information. The proposed buildings would meet all applicable setbacks.
Each unit must have 3,000 square feet of lot area per dwelling unit on the site in order to meet the requirements
of the zoning ordinance. The zoning ordinance states that if units have a garage, 400 square feet can be taken
off the open space requirement, bringing the requirement to 2,600 square feet of lot area per dwelling unit. The
site area of lot 1 is approximately 47,000 square feet in size. The proposed 16 units for 105 Michael Ct. require
at least 41,600 square footage of lot area. The density is acceptable per zoning ordinance requirements.
Additionally, up to 18 units could be built and still meet the lot area per dwelling unit requirement. The rest of
the lots are very similarly sized and the largest lot could accommodate up to 20 units maximum.
Open space is also an important aspect of a multi -family project such as this. The zoning ordinance requires
20% open space in the development. Staff will ensure each lot has at least 20 percent open space during the
building permit process. It should be noted that the open space does not take into account any of the parking
lot/drive areas or ponding areas because these are not considered usable open space.
Parking/Access/Circulation
For the first lot, 105 Michael Ct. NW, access will be off the currently paved section of Michael Ct. NW. Any
building beyond 105 Michael Ct NW will necessitate the construction of the entire length of Michael Ct NW.
Currently there is some on -street head -in parking allowed on Michael Ct. for the existing apartment building
located on the southeast portion of the site. This parking would have to be reconfigured when the rest of
Michael Ct NW is constructed.
Each apartment building required 1-parking stall per bedroom and .5 parking spaces per bedroom in common
for visitors. The site concept plan is showing 44 parking spaces. This is adequate parking if a couple of the
units per apartment building are 1-unit apartments. Staff will ensure parking is met for each of the buildings
through the building permit process.
Landscaping and Lighting:
The City arborist will review the Landscape Plan at the time of building permit to determine if the tree species
are compatible in Hutchinson. Lighting will need to be cast downward and not shine on adjacent properties.
Stormwater Management:
Staff is comfortable with 105 Michael Ct. moving forward using existing stormwater management
infrastructure. When engineering is done for the rest of the site stormwater will need to be studied and detail to
determine if stormwater can be routed to existing regional drainage facilities or if some type of stormwater
management will need to be done on site. State rules require any development creating 1 or more acre of
impervious surface to account for stormwater management or any common plan of development that creates
more than 1 acre of impervious surface. City staff is willing to work with the developer to determine if
stormwater can be routed to regional ponds or look at options for expanding regional ponds to handle the
stormwater runoff.
Conditional Use Permit
Michael Ct NW
Planning Commission—12-21-22
Page 4
Conditional Use Permit:
The Conditional Use Permit (CUP) is required for multiple -family buildings in an R-4 zoning district.
The following are standards for granting a conditional use permit:
(a) The proposed building or use at the particular location requested is necessary or desirable to provide
a service or a facility which is in the interest of the public convenience and will contribute to the
general welfare of the neighborhood or community;
(b) The proposed building or use will not have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities and other matters
affecting the public health, safety and general welfare; and
(c) The proposed building or use will be designed, arranged and operated so as to permit the
development and use of neighboring property in accordance with the applicable district regulations.
Conclusion:
The proposed project is desirable and will contribute to the general welfare of the neighborhood in
the subject location as it will utilize land that is currently vacant.
2. The proposed project is not anticipated to have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities, and other matters
affecting the public health, safety, and general welfare as the project appears to meet all zoning
requirements.
3. The proposed building(s) will be designed, arranged, and operated so as to permit the development
and use of neighboring property in accordance with the applicable district regulations.
Recommendation:
Staff recommends approval of the conditional use permit with the following conditions of approval:
1. The proposed building and site improvements shall comply with the standards of the R-4 district and
the Zoning Ordinance, as well as all other City regulations.
2. Development of 110, 115, 120 and 125 Michael Ct NW require the construction of a street and utilities
to be built by the developer to City specifications. Fully engineered plans will be required for this
work.
3. Any reconstruction of existing infrastructure within City of Hutchinson right of way or easement areas
shall be the developer's responsibility, including necessary improvements and associated costs. This
work shall meet all of the City's engineering standards and be approved by the City.
4. The City of Hutchinson must be notified 7 days prior to any roadway or utility work that is going to
be done within the City right of way. If the proposed work impacts roadway traffic flow, a traffic plan
must be submitted to the City Engineer for approval. All roadway work must be fully completed to
City standards within 10 calendar days of the original disturbance. If the work isn't fully completed
within 10 calendar days, the City reserves the right to have the work completed and invoice/assess the
property owner for all associated costs.
Conditional Use Permit
Michael Ct NW
Planning Commission—12-21-22
Page 5
5. The drainage and utility easement need to be established around the perimeter of each lot per City
standards.
6. All parking lots must meet accessible parking standards.
7. There must be emergency service access around the buildings. Fire hydrants must be located no
farther than 400 feet from the buildings.
8. Any exterior refuse collection area(s) must be fully screened. The trash enclosure adjacent to the
residential homes on the northeast portion of the site shall be moved to a more appropriate location.
9. The standards for granting a conditional use permit would be met, subject to the conditions stated.
10. The conditional use permit shall remain in effect as long as the conditions required by the permit are
observed. Any expansion or intensification of a conditional use or change to another conditional use
requires approval of a new conditional use permit.
11. The Applicant must obtain all necessary permits for the construction of the proposed project.
�■ 1■Iwo
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Certificate of ,Survey
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HUTCHINSON CITY COUNCIL cdvaf 1 �
Request for Board Action7kia'
Agenda Item: CONSIDER APPROVAL OF INTERFUND LOAN FROM THE DOWNTOWN RE�
Department: EDA
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Miles R. Seppelt
Agenda Item Type:
Presenter: None
Reviewed by Staff ❑
Consent Agenda 0
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The City and Developer are moving forward with the "Hutch Uptown Grand" project on the north end of Franklin Street.
Current plans call for the construction of a 75-unit apartment complex on the site of the former medical building (which
was demolished in 2016).
To help fund some of the project costs, which may include sanitary sewer relocation, construction of a stormwater
retention pond and property acquisition, it will be necessary for the City to lend up to $500,000 from the Downtown
Revolving Loan Fund to the TIF District 4-5 (SHOPKO) fund.
This loan would then be repaid, plus interest, from tax increment dollars generated by the new development over the
next 20-25 years.
Staff is requesting authorization from the City Coucnil to make the Interfund Loan.
The Interfund Loan resolution is ATTACHED for reference.
If you have any questions or need additional information, please give me a call any time at 234-4223.
BOARD ACTION REQUESTED:
Approval of Interfund Loan Resolution
Fiscal Impact: $ 0.00 Funding Source: N/A
FTE Impact: 0.00 Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
RESOLOUTION NO. 15547
RESOLUTION AUTHORIZING AN INTERFUND LOAN FOR ADVANCE OF
CERTAIN COSTS IN CONNECTION WITH TAX INCREMENT FINANCING
DISTRICT NOS. 4-5 AND 4-16.
BE IT RESOLVED by the City Council (the "Council") of the City of Hutchinson, Minnesota (the
"City"), as follows:
Section 1. Background.
1.01. The City has approved Tax Increment Financing Districts Nos. 4-5 and 4-16 (the "TIF Districts")
within Development District No. 4 (the "Project Area"), and has adopted the respective Tax Increment Financing
Plans therefor (the "TIF Plans") for the purpose of financing certain improvements within the Project Area.
1.02. The City has determined to pay for certain costs in the Project Area and identified in the TIF Plans
(collectively, the "Qualified Costs"), which costs may be financed on a temporary basis from City funds available
for such purposes.
1.03. Under Minnesota Statutes, Section 469.178, Subd. 7, the City is authorized to advance or loan
money from the City's general fund or any other fund from which such advances may be legally authorized, in
order to finance the Qualified Costs.
1.04. The City intends to reimburse itself for the Qualified Costs from tax increments derived from one
or both of the TIF Districts in accordance with the terms of this resolution (which terms are referred to collectively
as the "Interfund Loan").
Section 2. Terms of Interfund Loan.
2.01. The City hereby authorizes the advance of up to $500,000 from the Downtown Revolving Loan
Fund or so much thereof as may be paid as Qualified Costs. The City shall reimburse itself for such advances
from Available Tax Increment (defined below) together with interest at the rate of 4%, which does not exceed the
greater of the rates specified under Minnesota Statutes, Section 270C.40 or Section 549.09 as of the date the loan
is authorized. Interest accrues on the principal amount from the date of each tranche.
2.02. Principal and interest ("Payments") on the outstanding Interfund Loan balance shall be paid
annually on each December 31 (each a "Payment Date"), commencing on the first Payment Date on which the
City has Available Tax Increment (defined below), or on any other dates determined by the City Administrator,
through the date of last receipt of tax increment from one or both of the TIF Districts.
2.03. Payments on this Interfund Loan are payable solely from "Available Tax Increment," which shall
mean, on each Payment Date, tax increment available after other obligations have been paid, or as determined by
the City Administrator, generated in the preceding twelve (12) months with respect to the property within one or
both of the TIF Districts and remitted to the City by McLeod County, all in accordance with Minnesota Statutes,
Sections 469.174 to 469.1794, all inclusive, as amended. Payments on this Interfund Loan may be subordinated
to any outstanding or future bonds, notes or contracts secured in whole or in part with Available Tax Increment,
and are on parity with any other outstanding or future interfund loans secured in whole or in part with Available
Tax Increment.
2.04. The principal sum and all accrued interest payable under this Interfund Loan are pre -payable in
whole or in part at any time by the City without premium or penalty. No partial prepayment shall affect the
4876-7887-4694\3
amount or timing of any other regular payment otherwise required to be made under this Interfund Loan.
2.05. This Interfund Loan is evidence of an internal borrowing by the City in accordance with Minnesota
Statutes, Section 469.178, Subd. 7, and is a limited obligation payable solely from Available Tax Increment
pledged to the payment hereof under this resolution. This Interfund Loan and the interest hereon shall not be
deemed to constitute a general obligation of the State of Minnesota or any political subdivision thereof, including,
without limitation, the City. Neither the State of Minnesota, nor any political subdivision thereof shall be obligated
to pay the principal of or interest on this Interfund Loan or other costs incident hereto except out of Available Tax
Increment, and neither the full faith and credit nor the taxing power of the State of Minnesota or any political
subdivision thereof is pledged to the payment of the principal of or interest on this Interfund Loan or other costs
incident hereto. The City shall have no obligation to pay any principal amount of the Interfund Loan or accrued
interest thereon, which may remain unpaid after the final Payment Date.
2.06. Before the latest decertification of any tax increment financing district from which the interfund
loan is to be repaid, the City may modify or amend the terms of this Interfund Loan, in writing, by resolution of
the City Council, including a determination to forgive the outstanding principal amount and accrued interest to
the extent permissible under law.
Section 3. Effective Date. This resolution is effective upon the date of its approval.
The motion for the adoption of the foregoing resolution was duly seconded by Council member
, and upon a vote being taken thereon, the following voted in favor thereof:
and the following voted against the same:
Dated: December , 2022
Gary Forcier, Mayor
(Seal)
4876-7887-4694\3
ATTEST:
Matt Jaunich, City Administrator
FR
Fs HUTCHINSON CITY COUNCIL
HUTCHINSON Request for Board Action
A CITY ON PURPOSE.
Brush chipper acquisition
Agenda Item:
Department: PW/Eng
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
Brush chippers are extraordinarily dangerous pieces of equipment. The current brush chipper
we have is a 2016 Brush Bandit 250XP. This piece of equipment is used virtually every week by
either Public Works, Parks or Hutchinson Utilities. The brush chipper runs nearly every day in
the winter (except snow days) and works overtime when there is storm damage.
Because of how dangerous and critical the brush chipper is to our operations, it has been our
practice to replace these machines on a regular basis, about every 7 years.
This time around, Public Works demonstrated two models, a Brush Bandit 250XP and a Vermeer
BC150. Both units were approximately the same size and either unit would have worked. Once
we got the price quotes back, we found the prices were only around $650 apart, net of trade-in.
Public Works is recommends purchasing the Brush Bandit 250XP, even though the price is
slightly higher, because we've used that model of chipper for many years, so there would be no
training time with a new machine. We also have a stock of parts for the 250XP on hand,
including knife sets. Switching manufacturers would require us to return those parts with
significant restocking charges and acquire new stock parts.
BOARD ACTION REQUESTED:
Consideration of purchasing Brush Bandit 250XP brush chipper from Tri-State Bobcat
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost: $ 64,625.00
Total City Cost: $ 64,625.00 Funding Source: Vehicle -Equipment Replacement Fund
Remaining Cost: $ 0.00 Funding Source: N/A
12/12/2022
Purchase Requisition 01:10 PM
Purchase Requisition No 020317
Requested Date
Required Date
Requested By
12/12/2022
jolson
Preferred Vendor 131411
TRI-STATE BOBCAT
Address 1200 HIGHWAY 13 E
Department 0001
BURNSVILLE, MN 55337
Req. Description 2023 BRUSH BANDIT 250XP BRUSH CHIPPER, TRADE EXISTING
Qty.
Description
GL Number 1
Unit Price
Amount
1
1
2023 BRUSH BANDIT 250XP BRU
TRADE-IN EXISTING
701-4951-90540
701-4951-90540
93,125.00
-28,500.00
93,125.00
-28,500.00
Total:
64, 625.00
FOR
HUTCHINSON
PUBLIC WORKS AND ENGINEERING
City of Hutchinson
Public Works Department
Operations & Maintenance
1400 Adams St SE
Hutchinson, MN 55350
Phone (320) 234-4219 Fax (320) 234-6971
December 27, 2022
To: Honorable Mayor and City Council members
From: John Olson, interim Public Works Director
CC: Matt Jaunich, City Administrator
Andy Reid, Finance Director
Subject: Acquisition of brush chipper
The 2023 Capital Improvement Plan incudes replacement of the City's existing brush chipper (STRT-688-
UTL), a 2016 Brush Bandit 250XP.
Public Works staff looked at two options for brush chippers. Staff demonstrated a Vermeer BC150 brush
chipper and a Brush Bandit 250XP. Both units were deemed adequate for work done by Public Works.
The prices came back at:
Tri-State Bobcat
RDO Equipment
Brush Bandit 250XP
Vermeer BC150
Brush Chipper $93,125.00
Brush Chipper $89,974.46
Less: trade-in ($28,500.00)
Less: trade-in ($26,000.00)
Net cost: $64,625.00
Net cost: $63,974.46
Difference: $650.54
There being only a $650.54 of cost difference between the two options, Public Works recommends
approving the price quote from Tri-State Bobcat for a Brush Bandit 250XP.
The City has operated Brush Bandit 250XP brush chippers for many years. We already own a stock of
parts that would be interchangeable with the new model. There are at least two sets of new knives and
a set that can be sharpened. The sets of knives are estimated at approximately $250 each. This stock of
parts cannot be returned without paying significant restocking fees.
Staying with a Brush Bandit 250XP will also eliminate training time for Public Works staff, PRCE staff and
Hutchinson Utilities staff. All three groups regularly utilize the brush chipper.
Tri-State Bobcat
1200 Highway 13 East
Burnsville, MN 55337
USA
651-407-3727 (Phone)
651-683-2476 (Fax)
www.tristatebQbcat.com
QUOTATION
Quote #
Quote Created
Last Updated
Salesperson
149197
November 2, 2022 02:29 PM November 18, 2022 03:34 PM Brian
by Bandit Industries, Inc. by Tri-State Bobcat
CUSTOMER:
BILL TO:
SHIP TO:
City of Hutchinson
Tri-State Bobcat
Tri-State Bobcat
1400 Adams St. SE
1200 Highway 13 East
71 Minnesota Avenue
Hutchinson, MN 55350
Burnsville, MN 55337
Little Canada, MN 55117
USA
USA
USA
320-583-8982(Phone)
651-407-3727(Phone)
651-407-3727(Phone)
651-683-2476(Fax)
651-683-2476(Fax)
Brian Sjonfald (Contact)
Brian Bjonfald (Contact)
brienbCWstatebobcat_com
brianbCd?tNstatebobcat.com
MODEL 250XP (12- D ESC STY L E~ BRUSH BANDIT
city Part #
Description
Base Price
1
MODEL-250
Model 250XP - (12" Disc Style) Brush Bandit
$ 34690.00
3't'AEMDAREp E1QtHP�ENT-
Qty
Part #
Description
Price
1
STANDARD
40" diameter x 2" thick (2 knife pocket) chipper disc, each pocket equipped with (2) 1/2" x
$ 0.00
41/2" x 7 1/4" dual edge knives _
1
STANDARD
40 gallon steel fuel tank with magnetic drain plug, lockable filler cap, and aluminum sight
$ 0.00
gauge
_1
STANDARD
13 gallon steel hydraulic tank with magnetic drain plug, lockable filler cap, and sight -gauge
��_. $ 0.00.
1
STANDARD
Slide box feed system (includes adjustable spring on each side) with (2) horizontal feed
$ 0.00
wheels 10 5/8" diameter x 18 3/4" wide, driven by (2) 32.3 CID hydraulic motors. _
1
STANDARD
Hydraulic lift cylinder - utilizes a hydraulic cylinder to raise or provide down pressure for
$ 0.00
_
the top feed wheel
1
STANDARD
Bottom feed wheel clean out door (opens via spring latch pin allowing dirt and debris to fall
$ 0.00
out extending knife and component life)
_
1
STANDARD
360 degree HAND crank swivel discharge (height adjustable) with 12" adjustable chip
$ 0.00
deflector
1
STANDARD-
Clean out and inspection door on discharge bottom
0
29" high x 69" ,vide tapered inteeri nooDer wim 3 " t t a
5 0.0
y taiVicni covers. ano spring lift assi ,
1
STANDARD
(2) last chance safety pull cables
$ 0:00
1
STANDARD
Round control bar - located around top and sides of infeed hopper with 3 control positions
$ 0.00
(forward / stop / reverse)
1
STANDARD
Wooden pusher tool with mount on infeed hopper
$ 0.00
1
STANDARD
3/16" x 2' x 6" rectangular tubing with a 1/4" x 3" x 6" tubular tongue
$ 0.00
1
STANDARD
Frame / Fender supports
$ 0.00
1
STANDARD
(2) radiator guard posts
$ 0.00
1
STANDARD
Lockable aluminum toolbox
$ 0.00
1
STANDARD
5/16" (G70) safety chains with spring loaded latch hooks.
$ 0.00
1
STANDARD
8,000 pound capacity tongue jack with 15" of travel and foot.pad
$ 0.00
1
STANDARD
12 volt system with rubber mounted LED taillights, 6 prong replaceable coiled power cord
$ 0.00
& protected heavy-duty wiring with junction box, and LED clearance lights with reflectors.
_1 _
STANDARD
_ Banded chipper drive begs (adjustableyiaasliding engine system)
-t
STANDARD
Pressure _check kit _GaugeJsNOT included
_$0,00
^1 _STANDARD
Weather resistant manual container
__$ 0.00
1
STANDARD
Engine disable plug for hood locking pin -preventing engine from operating without pin in
$ 0.00
place
1
STANDARD
(1) weatherproof machine manual (includes safety, operation and parts sections) also (1)
$ 0.00
_ engine and dutch manual is included if applicable
^
1
STANDARD
Spanish & English combination safety decals
$ 0.00
F-
PAINT
J City
Part #
Description !
Unit Price
Total
1
333.32273
Standard Imron Industrial Urethane Bandit Yellow
$ 0.00
$ 0.00
ENGINE
Qty
Part # Description
Unit Price
Total
1
990-RC1591-122
Caterpillar C4.4, 174 horsepower engine without clutch - Tier 4
$ 38885.00
$ 38885.00
FINAL / STAGE V (Includes 2 year 12,000 hour engine warranty)
CONTROL SYSTEM AND ENGINE INSTALLATION
Qty
Part #
Descrlptlon
Unit Price
Total
1
700.6000-07
Murphy PV380 panel with reversing auto feed for Cat 174
$ 7825.00
$ 7825.00
horsepower diesel engines (Includes 1,000 CCA battery with box
and enclosure by Bandit - Panel is mounted off of engine shroud in
lockable composite cover
-Qty
CLUTCH
I
Part #
_ Descriptlon _
Unit Price
Total
1
700.1000-13
NACD over center (double plate dutch)
$ 1575.00
$ 1575.00
Qty I Part # J Description I Unit Price Total
1 OPTION-981-5000- High horsepower option for engines 150 hp and above (Includes 6 $ 1920.00 $1920.00
18 belt drive, longer chipper shaft and belt shield)
CRY J
Part #
J Description
J Unit Price
J Total
1
OPTION-981-5000- 29" high x 64" wide tapered heavy-duty infeed with weld on pan and
$ 1175.00
$ 1175.00
37
infeed deflectors
FEED SYSTEM
Qty
Part #
Description
Unit Price
Total
1
OPTION-915-5000-
Double Teeth (Bottom Feed Wheel) (15" drums / 250)
$150.00
$150.00
1
OWTION-915-0000-
Spring Loaded Tool less Trap Door
$ 250.00
$ 250.00
1
4WTION-915-5000-
Hydraulic flow control for feed wheel rate adjustment (All -In -One
$ 325.00
$ 325.00
41
Mount)
AXLE
Qty
Part #
Description
Unit Price
Total
1
OPTION-981-5000- Single 10,000 pound Torflex axle with electric brakes
$ 1220.00
$ 1220.00
TIES/RIMS
Qty
Part #
Description
Unit Price
Total
1
990-100406
(2) 215175R 17.5" tires mounted on 8-bolt heavy-duty gray rims
$ 0.00
$ 0.00
(8,000 pound axles on up)
FENDER
Qty Part #
Description
Unit Price
Total
1
990.100415
Aluminum bolt on fenders (Approximately 1/4" thick)
$ 0.00
$ 0.00
Y T HITCH_ — _
ft Part # _ Description Unit Price Total
1 990-100274 2-112" Wallace Forge Pintle Hitch $ 0.00 $ 0.00
ADDADN OPTION
Cone Holder
Qty Part # Description Unit Price Total
1 OPTION-980-5000- Pole style cone holder (weld on) $ 105.00 $ 105.00
Flag Holder
Qty Part # Description Unit Price Total
1 OPTION-980-1000 Bolt -on flag holders (includes flags) -aluminum or steel fenders $ 105.00 $ 105.00
FuN Md hydraulic Tanks
Qty I Part # Description Unit Price Total
1 OPTION-915-5000- Gate Valve for Hydraulic Tank
$ 130.00
$ 130.00
Miscellaneous Options
Qty Part # Description
Unit Price
Total
1 OPTION-980-0510- 4 place tool holder for shovel and rakes
1 OTION-911-5000- 4" x 6 1/2" inspection window on belt shield
o JJK:it
$ 325.00
$125.00
$ 325.00
$125.00
Qty Part #
Description
Unit Price
Total
1 OPTION-911-5001- 12.000 pound bolt on electric tongue jack
$ 1775.00
$1775.00
MWring
Qty I Part # Description Unit Price Total
1 OPTION-905-0000- Option 7 Prong (Flat/RV Style) to 6 Prong Coiled Cord $ 45.00 $ 45.00
CUSTOMER TOTALS
Total Unit Price: $ 90625.00
Freight/Shipping: $ 2000.00
_Customer Total: _ $ 93125.00
SIGNATURE
The Buyer, whose name and address appears above, agrees to purchase from the Seller, whose name and address appears above, the
above equipment at the prices stated and upon the terms and conditions of this agreement.
X
Signature Date
� eS 5 -►-�J c � 2g., sW
TOW
Vermeer
Investment Proposal (Quote)
RDO Equipment Co.
1675 126 Street West
Burnsville (VM) MN, 55337
Phone: (952) 890-6144 - Fax: (952) 882-2980
Proposal for
Investment Proposal Date:
11 /2212022
CITY OF HUTCHINSON
Pricing Valid Unill:
12/6/2022
111 HASSAN ST SE
Deal Number.
1610244
HUTCHINSON. MN, 55350
CuatornerAccotrnW.
5151008
MCLEOD
A0000nt Manor.
Christopher Conrad
Phone:
(507) 282-8888
Fax:
(507) 387-1838
Email:
CConrad@rdoequipmenLoom
EquOrtent Infortnadon
Quar ft Serial Number
Hours Status / Year / Make / Modell
Cash Price
Stock Number
(appmx.) Additional Items
1 TBD
0 New 2023 VERMEER BC1500
$87,157.46
TBD
BC1500011 BC1500 130HP CUMMINS DIESEL -TIER 4 FINAL
BC1500016 -MANUAL CHUTE ROTATION RIGHT SIDE
BC1500028-BC1500 NON WINCH T41 8, T4F
BC1500040-BC1500 DOMESTIC 6-WAY ROUND TRAILER PLUG
BC1500052 BC1500 RT SIDE CONTROLS - (130HP) T4F/STAGE IV
BCi500077 BC1500 STANDARD TIRES - 235/75R17.5H/J
BC1500092-BC1500 DOMESTIC OPTION 130HP TIER 4 FINAL
BC1500096 BC1500 ELECTRIC BRAKE 9.2K
BC150043VP BC1500 DOM. VALUE PACKAGE 130HP T4F
Freight in Freight/Prop $1,241.00
Other Aftermarket Electric Jack $1,676.00
Equipment Subtatal: $89,974.46
'Trade Information
Serial Number Year / Make / Model PayM Irdormation Trade In Hours Trade In Value
501688 2016 BRUSH BANDIT 250 $0.00 1667 ($26,000.00)
Total Trade In Value: ($26,000.00)
Trade Balance Owed: $0.00
Net DNferenoe: ($28,000.00)
'Purchase Order Totals
$63,974.46
Total Taxable Amount
$0.00
MN STATE TAX:
$0.00
MN CITY TAX:
$0.00
MN SPECIAL TAX:
$0.00
Sales Tax Total:
$0.00
Sub Total:
$63,974.46
Cash with Order:
$0.00
Balance Due:
$03.974.46
D1610244 Pagel 0f 1
FR
Fs HUTCHINSON CITY COUNCIL
Request for Board Action
Biosolids spreader acquisition
Agenda Item:
Department: PW/Eng
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The wastewater treatement facility currently has a 2007 biosolids spreader that should be
replaced, while it still has some value for trade-in.
We received two price quotes for a new spreader, with trade-in-
Schlauderaff Lake Henry
Spreader $59,000.00 $60,425.00
Trade in WWTF-218-HEQ ($25,000.00) ($19,500.00)
Net $34,000.00 $40,925.00
Schlauderaff Implement Co. has a unit in stock. Lake Henry did not have one in stock and
anticipated approx. 10-month delivery.
The budget for 2022 for this purchase was $35,000. We were not able to get a unit earlier, so
this will end up being a 2023 purchase. The budget was adjusted to $65,000 for 2023. This
purchase is within the budget for 2023.
BOARD ACTION REQUESTED:
Consideration of purchasing Kuhn/Knight SLC132T spreader from Schlauderaff Implement Co
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost: $ 34,000.00
Total City Cost: $ 34,000.00 Funding Source: wastewater Fund
Remaining Cost: $ 0.00 Funding Source: N/A
12/21/2022
Purchase Requisition 10:39 AM
Purchase Requisition No 020320
Requested Date 12/21/2022 Department 4945
Required Date
Requested By jolson
Preferred Vendor 124353
SCHLAUDERAFF IMPLEMENT CO.
Address 60240 US HWY 12
LITCHFIELD, MN 55355
Req. Description KUHN KNIGHT SLC132T SPREADER (NET OF TRADE)
Qty.
Description
GL Number 1
Unit Price
Amount
1
1
KUHN/KNIGHT SLC132T SPREADE 602-4945-90540
TRADE EXISTING UNIT WWTF-21 602-4945-90540
59,000.00
-25,000.00
59,000.00
-25,000.00
l Total:
34,000.00
Schlauderaff Implement Co.
60240 US Highway 12
Litchfield, MN 55355
320 693-7277
December 15, 2022
Hutchinson Area Transportation Services
1400 Adams Street SE
Hutchinson, MN 55350
Quote:
Kuhn/Knight SLC132T Spreader
Slinger commercial trailer
Includes
- 425 x 22.5 tires
- 1000 PTO cv driveline lights
- 2 splash guards
Cost
Trade in allowance
Knight 8132 s/n D0215
Total
$59, 000.00
($25L000.00)
$34, 000.00
Price includes cash discount along with government agency discount.
Rick Schaefer
Schlauderaff Implement Co
AWA MWWAMGF 9 NGFRNH PH- 320-243-7411 IT�
Fax: 320243-3415 MASSEY FIEMMSONS
23661
WHITE 23661 Hwy. 4 - Lake Henry, MN 56362 PAYHwy 4 o Lake Henry
NESVILLE, MN 56362
iftvim. www.lakehenryimplement.00m MUS-ItnG-
HmmN e f-cYN54e Lc4q of HIS
DATE Z) -,20 -Old
PH C300
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HUTCHINSON CITY COUNCIL cayof4M
Request for Board Action
Agenda Item: Short -Term Gambling License - McLeod County Pheasants Forever
Department: Administration
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete Yes
Contact: Melissa Starke
Agenda Item Type:
Presenter: Melissa Starke
Reviewed by Staff ❑✓
Consent Agenda
Time Requested (Minutes):
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The McLeod County Pheasants Forever organization has submitted a short-term gambling license application into
administration for review and processing. The application is for an event the organization is holding on March 11,
2023, at the McLeod County Fairgrounds. The applicant has completed the appropriate application in full and all
pertinent information has been received.
BOARD ACTION REQUESTED:
Approve issuing a short-term gambling license to McLeod County Pheasants Forever on March 11, 2023.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
HUTCHI SON
A CITY ON PURPOSE.
111 Hassan Street Southeast
Hutchinson, MN 55350
(320)587-5151 Fax: (320) 234-4240
City of Hutchinson
APPLICATION FOR GAMBLING DEVICES LICENSE
In provisions of the City of Hutchinson Ordinance Chapter 114
and Minnesota Statutes Chapter 349
All applications are to be received at least 30 days before event in order to be considered
k, Short Term Date(s) 0 3 1 I! O V11
ear —
{ Name
';Cy-) )o nq 5 4i
Address where regular meeting , are held
jr
Federal or State ID: Lt t - ��f act /119
Day and time of meetings?
ear
Fee: $30.00
6�� s 6
Phone Number
City State Zip
Is this organization organized under the laws of therState�of Minnesota? A3? yes ❑ no
'30
How long has the organization been inexistence? s b How
may
-�members in the organization? di -
What is the purpose of the organization?�uhc,�15 f vlu:;J QCgUfS�iYck1 /��z���
In whose custody will organization records be kept?
Na e
Address
r Duly Authorized Officer of the Organization Information
Phone Number
r ,q 1140
Litt; State Zip
// )) True Name Phone Number
—L ssidence Address City State Zip
Date of Birth: _ / / 3 d / Place of Birth:
Month/day/year City State
Have you ever been convicted of any crime other than a traffic
offense? ❑ yes �no
If yes, explain:
City of Hutchinson
Application for Gambling Devices License
Page 2 of 3
under Minnesota Statute
True Name
2/$' 3-?/-/Z/S
Phone Number
/_% %lt"G,� fa, �� 553�
r Residence Address City / State Zip
Date of Birth: / Place of Birth:
Month/day/year City State
Have you ever been convicted of any crime other than a traffic offense? ❑ yes 1-4"o
If yes, explain:
How long have you been a member of the organization? ZU 7/—
Game Information
Location #1
Name of locatio where will be played Phone Number
to w O/ �0
Address of location w re game will be played City State ! Zip
Date(s) and/or day(s) gambling devices will be used: �(t1�3-Z. through �l y
AM Alt
Hours of the day gambling devices will be used: From jj1 To
Maximum number of player:
Will prizes be paid in money or merchandise? XQMoney 'merchandise
Will refreshments be served during the time the gambling devices will be used? bkyes ❑ no
If yes, will a charge be made for such refreshments? es ❑ no
Game Information
Location #2
Name of location where game will be played Phone Number
Address of location where game will be played City State zip
Date(s) and/or day(s) gambling devices will be used: through
AM AM
Hours of the day gambling devices will be used: From pM To PM
Maximum number of player:
Will prizes be paid in money or merchandise? ❑ money ❑ merchandise
Will refreshments be served during the time the gambling devices will be used? ❑ yes ❑ no
If yes, will a charge be made for such refreshments? ❑ yes ❑ no
City of Hutchinson
Application for Gambling Devices License
Page 3 of 3
Officers, of the Or anization (ifnecessary, list additional names on se arate sheet
�C I/Ld Z/
^//�f� (�Aw Name
[/�3�J{/
J�y 72A �96e. l�
Residence Address
Title
Ci State
.
zip
Names
Title
Y/ �G�9c'►1.5� SG:�.
ltm/
— Residence Address
City State
zip
1� rN��am�e
/
Title
Residence Address
City State
zip
Officers or Other Persons Paid for Services Information i necessary, list additional names on se arate sheet)
Name Title
Residence Address City State zip
Name Title
Residence Address City State zip
Name Title
Residence Address City State zip -
Have you (Gambling Manager and Authorized Officer) read, and do you thoroughly understand the provisions of all
laws, ordinances, and regulations governing the operation and use of gambling devices (as outlined in City of
Hutchinson Ordinance 114.20 and Minnesota Statutes Chapter 349)?
Gambling Manager -O yes ❑ no ` _� Authorized Officer dayes ❑ no
Initial Initial
I declare that the information I have provided on this application is truthful, and I authorize the City of Hutchinson
to investigate the information submitted. Also, I have received from the City of Hutchinson a copy of the City
Ordinance No. 114.20 relating to gambling and I will familiarize myself with the contents thereof.
��r ZazZ-
authorized officer of'organization Date
ofgambling manager of organization Date
Internal Use Only
City Council ❑ approved ❑ denied Notes:
To:
Mayor and City Council
From:
Stephanie Nelson, Legal Technician
Date:
December 27, 2022
Subject:
License Renewals for 2023
The following establishments have applied for License Renewals. The appropriate paperwork
has been submitted. Please approve the following licenses:
Massage Services
Shantelle Huls, CMT
Taxi Service
Quality Transportation
HUTCHINSON CITY COUNCIL c`=yaf
Request for Board Action 7AZ O-m-
Agenda Item: CONSIDER APPROVAL OF LEASE AGREEMENT WITH RODNEY AND LEAN
Department: EDA
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Miles R. Seppelt
Agenda Item Type:
Presenter: none
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The City will be closing on the purchase of the home of Rodney & Leann Olson on January 6, 2023 as part of the
project to remove residences from the 100-year flood plain of the Crow River.
Because their new house will not be fully ready on January 6th, the Olsons are asking to lease their current residence
from the City for a few months.
The lease will be of $100 / month, on a month -to -month basis until June 30, 2023.
The lease agreement has been reviewed by the City Attorney and found to be in proper order. A copy of the lease is
ATTACHED for your review.
If you have any questions or need additional information, please give me a call any time at 234-4223.
BOARD ACTION REQUESTED:
Approval of Lease Agreement and authorization for Mayor & City Administrator to sign
Fiscal Impact: $ 0.00 Funding Source: N/A
FTE Impact: 0.00 Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
PROPERTY LEASE AGREEMENT
THIS LEASE AGREEMENT, made this 61 day of January, 2023 by and between the City of
Hutchinson, a Minnesota municipal corporation ("Lessor") and Rod & Leann Olson
("Lessee").
1. Property Description: The subject property, located in the County of McLeod,
State of Minnesota, is legally described as:
Lot 10, Block 41, North Half, City of Hutchinson
There currently exists a home and garage on the above described real estate which the
lessee desires to continue to use. The lessee shall have the right to use the above
captioned real estate, home and garage.
2. Term: The term of this Lease is for seven and one-half weeks, commencing on the 61n
day of January 2023 and terminating on the last day of February 2023, unless
terminated earlier by Lessee. Lessee may terminate this agreement by giving a
seven (7) days notice of the termination to the lessor.
3. Renewals: This lease can be renewed by the Lessee each month, for a term of one
month, up to four times, with the final lease renewal terminating on the last day of
June, 2023.
4. Rent: The lessee shall pay the lessor the sum of Twenty Five Dollars ($25.00) per week
for the lease of the above described property, which shall be due on the first day of each
month and payable, by check, to "City of Hutchinson."
5. Utilities: Lessee shall be responsible for paying all utilities during the term of the
lease.
6. Property Taxes & Insurance: Lessor shall be responsible for payment of property taxes
and insurance.
7. Property Use: The lessee shall not allow the above captioned premises to fall into a
state of disrepair and shall be occupied by the lessee at all times. Assignment of this
agreement is strictly prohibited unless agreed to by the lessor in writing.
IN TESTIMONY WHEREOF, the parties hereto have set their hands as of the day and
year first above written.
LESSEE CITY OF HUTCHINSON (LESSOR)
Rod Olson
Leann Olson
Gary T. Forcier
Mayor
Matthew Jaunich
City Administrator
HUTCHINSON CITY COUNCIL ci=yaf►
�
-a"
m _'
Request for Board Action 7AZ "- W1_7
Agenda Item: CONSIDER APPROVAL OF INTERCREDITOR AGREEMENT
Department: EDA
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Miles R. Seppelt
Agenda Item Type:
Presenter: None
Reviewed by Staff ❑
Consent Agenda 0
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
Several months back the City, the Southwest Initiative Foundation and the Mid -Minnesota Development Commission
each made loans to FireLake Manufacturing to assist them with their move to a larger building here in Hutchinson.
FireLake Manufacturing produces incinerators for use by farms, police departments, hospitals and the like.
The purpose of the Intercreditor Agreement is to come to an agreement beforehand on how loan collateral is to be
divided among the lenders in the event the loan goes into default.
The Intercreditor Agreement has been reviewed by the Clty Attorney and found to be in proper order. A copy is
ATTACHED for your review.
If you have any questions or need additional information, please give me a call any time at 234-4223.
BOARD ACTION REQUESTED:
Approval of Intercreditor Agreement and authorization for Mayor & City Administrator to sign
Fiscal Impact: $ 0.00 Funding Source: N/A
FTE Impact: 0.00 Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
INTERCREDITOR AGREEMENT
THIS AGREEMENT, dated the 17th day of June, 2022, is made and entered into by and
between Southwest Initiative Foundation (hereinafter "SWIF") and Mid -Minnesota Development
Commission (hereinafter "MMDC") and City of Hutchinson (hereinafter "City"). SWIF, MMDC, and
City are hereinafter referred to as "Creditor(s)".
WITNESSETH:
WHEREAS, SWIF has loaned to Firelake Mfg., LLC the principal sum of Thirty -Five
Thousand Dollars ($35,000.00) pursuant to a Promissory Note dated June 17, 2022; and a
Security Agreement dated June 17, 2022.
WHEREAS, MMDC has loaned to Firelake Mfg., LLC the principal sum of Thirty -Five
Thousand Dollars ($35,000.00) pursuant to a Promissory Note dated June 6, 2022; and a Loan
Agreement and Security Agreement dated June 6, 2022.
WHEREAS, City has loaned to Firelake Mfg., LLC the principal sum of Thirty -Five
Thousand Dollars ($35,000.00) pursuant to a Promissory Note dated June 16, 2022; and a
Security Agreement dated June 16, 2022
WHEREAS, the purpose of this agreement is to set forth the respective rights of the parties
in said security and to set forth procedures to be taken upon occurrence of an event of default
under the various loan documents.
NOW, THEREFORE, in consideration of the mutual covenants and conditions contained
here, the parties agree as follows:
All property pledged as security in the loan documents referenced herein above is
collectively referred to as "Collateral'.
2. This agreement shall only relate to the relative position of the Creditors and shall have
no effect on the credit obligations between each Creditor and Firelake Mfg., LLC
(hereinafter `Borrower").
3. The Creditors hereto agree that the priority of their respective security interests are as
follows:
3.1 SWIF and MMDC shall have a first priority lien on the Collateral, and their liens
shall have equal priority regardless of the dates or times of recording or perfecting
said liens for security interests.
3.2 City shall have a second priority lien on the Collateral.
4. The filing of a Partial Termination Statement by a Creditor shall only effect its secured
position relative to the property released. The filing of a Termination Statement by a
Creditor shall release its secured interest in the assets of Borrower; however, the
Creditor shall be bound by the terms of this Intercreditor Agreement during the entire
term of this agreement.
5. This agreement shall commence on the date herein and shall remain in full force and
effect so long as a Debtor -Creditor relationship exists between Borrower and any
Creditor.
6. The Creditors each agree to provide the other written notice promptly following their
actual knowledge of an event of default under their respective loan documents
(hereinafter "Notice of Default").
7. An event of default as to one Creditor shall constitute an event of default as to all
Creditors.
8. Following a Notice of Default:
Any payments of principal, interest or otherwise, received by a Creditor, together
with all proceeds from sale or liquidation of the Collateral shall be divided between
the Creditors as follows:
First, to the payment of costs and expenses of collection, including any
reasonable fees and expenses of legal counsel, and the payment of all
taxes, assessments and superior liens, if any.
Second, to the payment of the principal and interest then owing and unpaid
on the loans made by SWIF and MMDC. Said payments shall be distributed
on a pro rata basis to SWIF and MMDC according to the ratio of the principal
and interest balance of each loan described herein divided by the total
principal and interest balances of the loans made by SWIF and MMDC.
Third, to the payment of the principal and interest then owing and unpaid on
the loan made by City.
Fourth, to the payment of the surplus, if any, to whoever shall be lawfully
entitled to the same.
9. All notices, demands, requests and consents under this agreement shall be mailed by
first class mail, postage prepaid to the addresses of the parties as noted in the loan
documents or applications.
10. This agreement shall be deemed a contract made under the laws of the State of
Minnesota and for all purposes shall be construed in accordance with the laws of the
State of Minnesota.
11. This agreement shall be binding upon the parties hereto and their respective
successors and assigns and shall inure to the benefit of the Creditors and their
respective successors and assigns.
12. Any amendment of this agreement shall be in writing and shall require the signature of
all the parties. The Creditors hereto agree that they will not change, modify or amend in
any way the respective loan documents with Borrower without the prior consent of the
other Creditors.
Oj
13. The provisions of this agreement shall be severable one from another, such that, in the
event any provision shall be found invalid or unenforceable, such finding shall not affect
the continuing validity and enforceability of each of the other provisions of the
agreement.
IN WITNESS WHEREOF, the parties have executed this Intercreditor Agreement as of the day and
year first above written.
Southwest Initiative Foundation
By: Scott Marquardt
Its: Senior Vice President
City of Hutchinson
By: Gary T. Forcier
Its: Mayor
By: Matt Jaunich
Its: City Administrator
3
Mid -Minnesota Development Commission
By: Eric Day
Its: Executive Director
CHECK REGISTER FOR CITY OF HUTCHINSON
CHECK DATE FROM 11/23/22 - 12/13/22
Check Date
Check
-----------
EFT
Vendor Name
------------------------------------------------------
EFTPS
Description
-------------------------------------------------------------
Payroll Processed 10/30/22 - 11/12/22
Amount
--------------------------
74,173.90
---------------
11/18/2022
11/18/2022
EFT
Child Support
Payroll Processed 10/30/22 - 11/12/22
659.43
11/18/2022
EFT
MN Dept of Revenue
Payroll Processed 10/30/22 - 11/12/22
14,253.63
11/18/2022
EFT
Provident Life - Vol Ins
Payroll Processed 10/30/22 - 11/12/22
436.50
11/18/2022
EFT
PERA
Payroll Processed 10/30/22 - 11/12/22
59,878.02
11/18/2022
EFT
Further HSA
Payroll Processed 10/30/22 - 11/12/22
13,805.13
11/18/2022
EFT
Mission Square
Payroll Processed 10/30/22 - 11/12/22
2,953.20
11/18/2022
EFT
VOYA
Payroll Processed 10/30/22 - 11/12/22
460.00
11/18/2022
EFT
MNDCP
Payroll Processed 10/30/22 - 11/12/22
350.00
11/18/2022
106000
MNPEA Union Due
Payroll Processed 10/30/22 - 11/12/22
663.00
11/18/2022
106001
UNUM Life Voluntary
Payroll Processed 10/30/22 - 11/12/22
1,096.22
11/18/2022
106002
LELS Union Dues
Payroll Processed 10/30/22 - 11/12/22
325.00
11/18/2022
106003
HART
Payroll Processed 10/30/22 - 11/12/22
443.75
11/18/2022
106004
THE TITLE TEAM
CLOSING COSTS - FRANKLIN STREET LOT
1,049.00
12/02/2022
EFT
EFTPS
Payroll Processed 11/13/22 - 11/26/22
75,817.03
12/02/2022
EFT
Child Support
Payroll Processed 11/13/22 - 11/26/22
659.43
12/02/2022
EFT
MN Dept of Revenue
Payroll Processed 11/13/22 - 11/26/22
15,759.43
12/02/2022
EFT
Provident Life - Vol Ins
Payroll Processed 11/13/22 - 11/26/22
436.50
12/02/2022
EFT
PERA
Payroll Processed 11/13/22 - 11/26/22
74,039.49
12/02/2022
EFT
Further HSA
Payroll Processed 11/13/22 - 11/26/22
13,825.13
12/02/2022
EFT
Mission Square
Payroll Processed 11/13/22 - 11/26/22
3,003.20
12/02/2022
EFT
VOYA
Payroll Processed 11/13/22 - 11/26/22
460.00
12/02/2022
EFT
MNDCP
Payroll Processed 11/13/22 - 11/26/22
350.00
12/02/2022
106005
Life Ins - NCPERS
Payroll Processed 11/13/22 - 11/26/22
240.00
12/02/2022
106006
HART
Payroll Processed 11/13/22 - 11/26/22
443.75
12/13/2022
106007
ACE HARDWARE - 1315
REPAIR & MAINT SUPPLIES - MULTIPLE DEPTS
512.36
12/13/2022
106008
ACE HARDWARE - 1790
ANTIFREEZE, SNOW PUSHER - FIRE
98.34
12/13/2022
106009
ACE HARDWARE - 1825
TORX INSERT BIT SET - POLICE
12.99
12/13/2022
106010
ACE HARDWARE - 6762
BATTERIES - REFUSE
12.81
12/13/2022
106011
ADVANCED ENGINEERING & ENVIRONMENTA
OCT SCADA IMPVS - WATER & WWTP
18,626.82
12/13/2022
106012
AHLGREN ELECTRIC
LIGHT POLE REPAIR @ PARK ELEM HOCKEY FIELD
3,367.21
12/13/2022
106013
ALEX AIR APPARATUS INC
SCBA FILL STATION REPAIRS- FIRE
463.00
12/13/2022
106014
ALLIED PRODUCTS CORP
FLAGS - POLICE
179.81
12/13/2022
106015
AMERICAN TEST CENTER
ANNUAL LADDER TRUCK TEST AND CERT - FIRE
560.00
12/13/2022
106016
AMPLIFY FOR CHANGE
SUPPORTTO MPCA GRANT- CREEKSIDE
400.00
12/13/2022
106017
ANIMAL MEDICAL CENTER ON CROW RIVER
OCT BOARDING/PROCESSING - POLICE
701.00
12/13/2022
106018
ARTISAN BEER COMPANY
COST OF GOODS SOLD - LIQUOR HUTCH
1,124.95
12/13/2022
106019
AUTO VALUE - GLENCOE
JICS, PIPE, CLEANER - HATS
252.61
12/13/2022
106020
AUTO-CHLOR SYSTEM
11/28 DISHWASHER SERVICE - SR DIN
220.00
12/13/2022
106021
AVEYRON HOMES INC
UB refund for account: 2-605-3600-9-00
108.02
12/13/2022
106022
B & C PLUMBING & HEATING INC
FURNACE REPAIR - PARKS
150.00
12/13/2022
106023
BELLBOY CORP
COST OF GOODS SOLD - LIQUOR HUTCH
4,749.29
12/13/2022
106024
BERNICK'S
COST OF GOODS SOLD - LIQUOR HUTCH
959.72
12/13/2022
106025
BERTRAM ASPHALT COMPANY, INC.
STREET PATCHING - WATER, STORMWATER
3,620.52
12/13/2022
106026
BOLLER, FRANKLIN & ALICE
UB refund for account: 3-657-7390-8-01
49.24
12/13/2022
106027
BRADLEY SECURITY LLC
WEST ENTRY DOOR REPAIR - POLICE
1,477.00
12/13/2022
106028
BRASS FOUNDRY BREWING CO
COST OF GOODS SOLD - LIQUOR HUTCH
1,025.28
12/13/2022
106029
BRAUN INTERTEC CORP
HASSAN ST RECONST & FIRE STATION LOT - ENG
9,495.25
12/13/2022
106030
BREAKTHRU BEVERAGE
COST OF GOODS SOLD - LIQUOR HUTCH
24,852.72
12/13/2022
106031
BRETH-ZENZEN FIRE PROTECTION
FIRE SPRINKLER UPDATES @ EAST RINK
34,945.00
12/13/2022
106032
BRINKMANN, JOEL
REIMB: TRAILER BULB - POLICE
10.35
12/13/2022
106033
BURMEISTER, CHRISTINA
REIMB: JURY DUTY MILEAGE - PRCE
16.20
12/13/2022
106034
C & L DISTRIBUTING
COST OF GOODS SOLD - LIQUOR HUTCH
69,620.00
12/13/2022
106035
CACKA ROOFING INC
TIF: SHANTELLE HULS - HRA
4,950.00
12/13/2022
106036
CARD SERVICES
SUPPLIES - SR CTR
16.47
12/13/2022
106037
CARLSON, DAN
SESSION 1 TENNIS - REC
2,955.00
12/13/2022
106038
CENTRAL HYDRAULICS
EQUIPMENT PARTS- MULTIPLE DEPTS
306.12
12/13/2022
106039
CENTRAL MCGOWAN
OXYGEN, ACETYLENE, HELMET- MULTIPLE DEPTS
701.17
CHECK REGISTER A FOR CITY OF HUTCHINSON
CHECK DATE FROM 11/23/22 - 12/13/22
Check Date Check
--------------- -- -- -- --
12/13/2022 106040
Vendor Name Description
-- -- -- -- -- - ----_-------------------------------------------- ----------------
CHEMISOLV CORP FERRIC CHLORIDE - WWTP
Anwunt
----
9,072.36
12f13f202.2
106041
1 CHET & ASSOCIATES
UB refund for account: 3-713-0110-1-00
24.42
12/13/2022
106042
ICINTAS CORPORATION
SUPPLIES & SERVICE - MULTIPLE DEPTS
537.24
12/13/2022
106043
CITY OF GLENCOE
RAIN BARRELS - STORMWATER
7,34e.76
12/13/2022
106044
COKER COMPOSTING AND CONSULTING
SUPPORTTO CASP IMPL & MPCA GRANT-CREEKSIDE
637.50
12/13/2022
106045
COMMISSIONER OF TRANSPORTATION
RECORD SAMPLING HAWK SYSTEM - ENG
526.80
12/13/2022
106046
COOL AIR MECHANICAL INC
FALL INSPECTION -ARENA
994.00
12/13/2022
106047
CORE & MAIN LP
TOUCHPADS, METERS, PARTS- WATER
1,858.19
12f 13/202.2
106048
CROW RIVER AUTO & TRUCK REPAIR PARKS TRUCK OIL CHANGE
CROW RIVER PRESS INC SR NEWSLETTERS - SR CTR
52.34
39.52
12/13/2022
106049
12/13/202.2
106050
CROW RIVER WINERY COST OF GOODS SOLD - LIQUOR HUTCH
1,327.20
12/13/2022
106051
CUSTOMIZED FIRE RESCUE TRAINING INC
FIRE TRAINING CLASSES - FIRE DEPT
2,550M13
1211312022
106052
DAHLHEIMER BEVERAGE
COST OF GOODS SOLD - LIQUOR HUTCH
59,149.12
12/13/202.2
106053
DATA PRACTICES OFFICE
INTRO THE DATA PRACTICE - ADMIN
125.00
12/13/2022
106054
DELL MARKETING L.P.
MONITORS - IT
979.77
12/13/2022
106055
DESIGN ELECTRIC INC
LIGHTS & POLE REPAIRS- MULTIPLE DEPTS
2,041-30
12/13/2022
106056
DEZURIK, INC
ACTUATORS, CHAINS - WWTP
4,708.00
12113/2022
106057
DIMLER, KYLE
REIMB: SAFETY FOOTWEAR - BLDG INSPEC
175.00
12/13/2022
106058
DUKE'S ROOT CONTROL, INC
ROOT CONTROL-5 YR CYCLE - SEWER
7,632.92
12f13/2022
106059
E2 ELECTRICAL SERVICES INC
DEMO/REWIRE OUTSIDE SIGN/LIGHTS - ARENA
6,387.14
12/13/2022
106060
ECOLAB PEST ELIMINATION
PEST CONTROL- MULTIPLE LOCATIONS
271.43
12/23/2022
106061
ELECTRO WATCHMAN
ADDED FIRE RESET CODE TO PANEL- WATER
25.00
12/13/2022
106062
ELECTRONIC SERVICING
PA SYSTEM REPAIR -ARENA
125.00
12/1312022
106063
ELK RIVER COMPOSTING INC
DELIVERED COMPOST
43,263.05
12/13/2022
106064
FAHEY EQUITIES LLC
SIGN & AWNING GRANT- EDA
2,000.00
12f13/2022
106065
FARM -RITE EQUIPMENT
FASTENAL COMPANY
FICK, CONNIE
EQUIPMENT PARTS- MULTIPLE DEPTS
1,093.89
12/13/2022
106066
EQUIPMENT PARTS- MULTIPLE DEPTS
130.47
12/13/2022
106067
UB refund for account: 2-070-7050-9-04
191.80
12/23/2022
106068
FIRST CHOICE FOOD & BEVERAGE SOLUTI
COFFEE - CITY CENTER
270.20
12/13/2022
106069
FORESTEDGE WINERY
COST OF GOODS SOLD - LIQUOR HUTCH
132.00
IL211312022
106070
FOUNTAIN HILL WINERY & VINEYARD LLC
COST OF GOODS SOLD - LIQUOR HUTCH
538.20
12/13/2022
106071
FUZE LOGISTICS SERVICES USA INC
CREEKSIDE FREIGHT TO MULTIPLE LOCATIONS
7,825.0D
12/13/2022
106072
GALLS LLC
PANTS, SHIRTS - POLICE
202.94
12113/2022
106073
GAVINrJANSSEN & STABENOW, LTD
OCT, NOV PROSECUTIONS - LEGAL
7,880,00
12/13/2022
106074
GEIKEN'S GUIDE & GUARD, LLC
DARE TEACHING - POLICE
2,064-"
1211312022
106075
GRAINGER
REPAIR & MAINT SUPPLIES - MULTIPLE DEPTS
1,134.04
12/13/2022
106076
GRIDOR CONSTRUCTION
L8P22-08 WWTF OXIDATION DITCH AERATION IMPV
336,609,75
12f13/2022
106077
H2O INNOVATION USA
SPECTRAGUARD- WATER
6,207.00
12/13/2022
106078
HACH COMPANY
FLUORIDE, CABLE, COMPRESSOR - WATER
2,057.62
12/13/2022
106079
HALLIDAY PROOUCTS, INC.
CABLEHOLDER, CHANNEL FRAME LOCK BAR - WWTP
373.71
12113/2022
106080
HANSEN GRAVEL INC.
BLACK DIRT- ARENA
542.00
12/13/2022
106081
HAWKINS INC
CHEMICALS - MULTIPLE DEPTS
3,331.00
1211312022
106082
HILLYARD / HUTCHINSON
REPAIR & MAINT SUPPLIES - MULTIPLE DEPTS
OCT GROWTH AREA PLANNING
818.87
12f13/2022
106083
HOISINGTON KOEGLER GROUP INC
2,692.5D
12/13/2022
106084
HOLDEN ELECTRIC CO INC
BEACON LIGHT MAINT - AIRPORT
744.25
22/13/2022
106085
HUTCHINSON CHAMBER & TOURISM
OCT 2022 LODGING TAX
9,429.63
12/13/2022
106086
HUTCHINSON CO-OP
NOV FUEL & SERVICES - MULTIPLE DEPTS
30,071-03
1211312022
106087
HUTCHINSON HEALTH
EMPLOYEE DRUG TESTING
861.00
12/13/2022
106088
HUTCHINSON LEADER
NOV ADVERTISING - MULTIPLE DEPTS
3,808.86
12f13f2022
106089
HUTCHINSON UTILITIES
#890 DIELECTRIC INSPECTION - STREETS
425.00
12113/2022
106090
HUTCHINSON WHOLESALE #1550
REPAIR & MAINT SUPPLIES - MULTIPLE DEPTS
1,059.24
12/13/2022
106091
HUTCHINSON WHOLESALE #1551
FUSE, FREIGHT -COMPOST
24.10
12/13/2022
106092
HUTCHINSON WHOLESALE #1552
HITCH PIN, TURN SIGNAL SWITCH - PARKS
134.14
12/13/2022
106093
HUTCHINSON WHOLESALE #2520
DURANGO - REAR HATCH LIFT SUPPORTS - FIRE
105.20
1211312022
106094
HUTCHINSON, CITY OF
OCT 2022 STORM DRAINAGE
(031.62
12/13/2022
106095
IDS, DOUG
UB refund for account: 3-105-0340-6-03
28.52
12f13f2022
106096
JINGSTAD BROADCASTING
NOV ADVERTISING - MULTIPLE DEPTS
413.00
12/13/2022
106097
JINSELMANN. ERIC
REIMB: IVIED BAG SUPPLIES - FIRE
24.05
CHECK REGISTER A FOR CITY OF HUTCHINSON
CHECK DATE FROM 11/23/22 - 12/13/22
Check Date Check
_______________•___________
12/13/2022 106098
12/13/202.2 106099
Vendor Name
_--------------------------------im���L�-
INTERSTATE BATTERY SYSTEM MINNEAPOL
ISD #423 _
1&N TACTICAL
JAY MALONE MOTORS
oescriMian
- - - - - - - - - - - - - -
Amount
----
BATTERIES - HATS
17.99
OCT 2022 CLASSES - COMM ED
5,325.41
12/13/2022
106100
CLAMP HEAD ASSEMBLY - POLICE
266.75
12/13/2022
106101
SENSOR FOR IT VAN
97.60
12/13/2022
106102
JLR GARAGE DOOR SERVICE
RETAINERS, FLAPS - PARKS
441.60
1211312022
106103
JOHNSON BROTHERS LIQUOR CO.
COST OF GOODS SOLD - LIQUOR HUTCH
31,489-91
12/13/2022
106104
KENNEDY SCALES INC
T GRIP MOLDING - CREEKSIDE
277.09
12/13/2022
106105
KERI'S CLEANING & HANDYMAN SERVICES
NOV CLEANING - MULTIPLE LOCATIONS
5,829.06
12f13f2022
106106
KOHLS SWEEPING SERVICE
10/9 - 10/21 PILING @ CREEKSIDE
1)087.50
12/13/7.022
106107
KOSTERS, MICHAEL
REIMB: WINTER BOOTS - CREEKSIDE
125.00
12/13/202.2
106108
KRANZ LAWN & POWER
CUT -STUMP SPRAYER - STREETS
2021 PVMT MGMT PROGRAM THROUGH 1112912.2
24.99
IL211312022
106109
LANDWEHR CONSTRUCTION INC
18,030.07
1211312022
106110
LANO EQUIPMENT OF NORWOOD
FILTERS - STREETS
157.64
12/13/202.2
106111
LANSKA, JEREMIAH
UB refund for account: 3-755-1060-4-02
68.51
12/13/2022
106112
LENAR7, TROY
PHOTOGRAPHY - REC
599.99
12/13/2022
106113
LOGIS
MISC SUPPORT & SERVICES, SWITCH REPLACEMENTS
16,491-84
12113/2022
106114
M-R SIGN
SIGNS - STREETS
180.11
1211312022
106115
MARCOTECHNOLOGIES, LLC
OCT/NOV PRINTING CONTRACTS- MULTIPLE DEPTS
526.98
12113/202-2
106116
MARCOTECHNOLOGIES, LLC
OCT/NOV PRINTING CONTRACTS- MULTIPLE DEPTS
2,342.42
12f13/2022
106117
MCLEOD COUNTY PUBLIC WORKS
2021/22 HATS LOADER USAGE
4,948.97
12/13/2022
106118
MCLEOD COUNTY RECORDER
RESOLUTION, ORDINANCE - P/Z
92.00
12/13/2022
106119
MEI TOTAL ELEVATOR SOLUTIONS
DEC/JAN SERVICE - LIBRARY
216.50
12/13/2022
106120
MENARDS HUTCHINSON
REPAIR & MAINT SUPPLIES - MULTIPLE DEPTS
1,543,48
1211312022
106121
VOID
VOIDED CHECK
-
12/13/2022
106122
MHSRC/RANGI=
R MACMULLAN: EVOC/Prr REFRESHER - POLICE
490.00
12f13/202.2
106123
MINI BIFF
RENTALS -MULTIPLE DEPTS
217.67
12/13/2022
106124
MINNESOTA DEPT OF HEALTH
Q4 2022 STATE FEE - WATER CONNECTIONS
11,766.00
12/13/2022
106125
MINNESOTA DEPT OF HEALTH
2O23 LICENSE RENEWAL- SR CENTER
315.00
12/23/2022
106126
MINNESOTA VALLEY TESTING LAB
LAB SAMPLE TESTING - MULTIPLE DEPTS
1,034,90
12/13/2022
106127
MORGAN CREEK VINEYARDS
COST OF GOODS SOLD - LIQUOR HUTCH
465.60
L2/13/2022
106128
MSA SAFETY SALES LLC
FREIGHT FOR RETURNED ITEM - WWTP
15.00
12/13/2022
106129
NELSON-RUDIE & ASSOCIATES INC
LOCKER ROOM REVISIONS, DESIGN WORK - ARENA
5,917.50
12f13/2022
106130
NERO ENGINEERING LLC
MISC WASTEWATER TREATMENT EFFORTS
39,441.28
12113/2022
106131
NORTH CENTRAL INTERNATIONAL
MUD FLAPS - HATS
376.00
12/13/2022
12/13/2022
106132
NORTHERN STATES SUPPLY INC
CLAMPS, CABLE TIES, NUTS, FINS, WASHERS - HATS
153.89
5,SM95
106133
NUVERA
NOV PHONE SERVICES - MULTIPLE DEPTS
12113/2022
106134
O'REILLYAUTO PARTS
EQUIPMENT PARTS- PARKS
770.21
12/13/2022
106135
ODP BUSINESS SOLUTIONS LLC
PENS - STREETS
44.33
12/13/2022
106136
OLSON, JOHN
REIMB: UTILITY COORD MTG - ENG
45.00
12/13/2022
106137
PARK NICOLLET CLINIC
DEC 2022 CAM - EVENT CENTER
1,500-00
12113/2022
106138
PAUSTIS WINE COMPANY
COST OF GOODS SOLD - LIQUOR HUTCH
7,249.50
1211312022
106139
PEOPLEREADY INC
CREEKSIDE TEMP STAFFING
7,185-22
12113/2022
106140
PHILLIPS WINE & SPIRITS
COST OF GOODS SOLD - LIQUOR HUTCH
PEST CONTROL- ARENA
31,229-86
153.57
12f13/2022
106141
PLUNKETTS PEST CONTROL
12/13/2022
106142
PRECAST SYSTEMS
CONCRETE PAD @ DEPOT SCULPTURE STROLL
495.00
12/13/2022
106143
PREMIER TECH CHRONOS
SPROCKET, ASSEMBLY - CREEKSIDE
2,352-51
12/13/202.2
106144
PREMIUM WATERS
5 GALLONS - PARKS
16.49
12113/2022
106145
PRO AUTO MN INC
VEHICLE REPAIRS- MULTIPLE DEPTS
1,444-81
12/13/2022
106146
QUILL CORP
OFFICE SUPPLIES - MULTIPLE DEPTS
578.86
12f13f2022
106147
RAHN PAINTING & CONTRACTING LLC
DEC SNOW CONTRACT- MULTIPLE DEPTS
3,575.00
12/13/2022
106148
RASMUSSEN, JANICE
UB refund for account: 1-357-1278-0-01
77.37
12/13/2022
106149
REINDERS
HOLIDAY LIGHTING PURCHASES
3,828-48
12/13/2022
106150
REINER ENTERPRISES INC
CREEKSIDE FREIGHT TO MULTIPLE LOCATIONS
12,593-00
1211312022
106151
REVIER WELDING
LEVELING RAR, TRAILER REPAIRS - MULTIPLE DEPTS
6,639-84
12113/2022
106152
RICE LAKE CONSTRUCTION GROUP
L3P21-03 WWTF HEADWORKS IMPVS #15 10/28
194,109.32
12/13/2022
106153
RNL TRANSPORT LLC
CREEKSIDE FREIGHT TO MULTIPLE LOCATIONS
1,525.00
12/13/2022
106154
ROSE TRUCKING INC
DOT INSPEC, SUPPLIES - CREEKSIDE
687.59
12/13/2022
106155
RUNNING'SSUPPLY
REPAIR &MAINT SUPPLIES - MULTIPLEDEPTS
259.22
CHECK REGISTER A FOR CITY OF HUTCHINSON
CHECK DATE FROM 11/23/22 - 12/13/22
Check Date Check Vendor Name Description Amount
-------------- �.._ _----------------- ._...__......__......__...---_- -- -- -- -- -- -- ----------
12/13/2022 106156 SALAZAR, MICHAEL REIMB: SAFETY FOOTWEAR - POLICE 138.75
12/13/2022 106157 SALTMAN LLC SALT - ARENA 180.00
12/13/2022 106158 SAIiTELL, CITY OF FINISHED COMPOST - CREEKSIDE 9,279.98
12/13/2022 106159 SCHLAUDERAFF IMPLEMENT CO. HAMMERr BUSHINGS, WASHERS, SCREWS - WWTP 647.80
12/13/2022
106160
SCHWICKERT'STECTA AMERICA LLC
SEPPELT, MILES
j ROOFREPAIR- POLICE
1,658.00
12/13/2022
106161
REIMB: SEMINAR @ GRANITE FALLS - EDA
86.25
12/13/2022
106162
SHORT-ELLIOT-HENDFkICKSON, INC
VARIOUS PROJECT & CITY ENGINEERING SERVICES
Z3,537.91
12/13/2022
106163
SIBLEY ELECTRIC INC
PIPE REPAIR -WATER TOWER
401.62
12f13f2022
106164
SMALL LOT MN LLC
COST OF GOODS SOLD - LIQUOR HUTCH
BATTERY, SCREWDRIVER SET - HATS
488.04
212.60
12113/2022
106165
SNAP -ON INDUSTRIAL
12/L3/2022
106166
106167
SOUTHERN WINE & SPIRITS OF MN
STANDARD PRINTING-N-MAILING
COST OF GOODS SOLD - LIQUOR HUTCH
13,181-40
997.01
IL211312022
NOV UTILITY BILLS, POSTAGE - MULTIPLE DEPTS
12/13/2022
106168
STAPLES ADVANTAGE
OFFICE SUPPLIES - MULTIPLE DEPTS
1,2D6.41
12f13/202-2
106169
TALL SALES COMPANY
OCT 2022COMMISSIONS -CREEKSIDE
1,653.25
12/13/2022
106170
TAPS-LYLE SCHROEDER
LAUNDRY SERVICES - EV CTR
50.00
12/L3/2022
106171
TARGET PEST CONTROL
PEST CONTROL - EDA
300.00
12/13/2022
106172
TRI COUNTY WATER
BOTTLE WATER DELIVERY - MULTIPLE DEPTS
110.00
12113/2022
106173
ITAMCH SOFTWARE SYSTEMS
LETG SOFTWARE MAINT- POLICE
335.24
12113/202-2
106174
USA BLUE BOOK
PUMP HEAD, VALVE ASSY - WWTP
231.87
12f13/2022
106175
VERHEY,JJ
REIMB: SAFETY FOOTWEAR - CITY HALL
164.99
12/13/2022
106176
VERIZON WIRELESS
OCT 03 - NOV 02 PHONE SERVICES - MULTIPLE DEPTS
3,468.95
12/13/2022
106177
VESSCD INC
0-RINGS, BRACKETS, FLANGES, INSERTS - WWTP
4,189,16
12/23/2022
106178
VIKING BEER
COST OF GOODS SOLD - LIQUOR HUTCH
26,185.20
12/1312022
106179
VIKING COCA COLA
COST OF GOODS SOLD - LIQUOR HUTCH
818.45
12/13/2022
106180
IVIKING SIGNS & GRAPHICS INC
VINYL DECALS - CREEKSIDE
490.00
12f 13f2022
106181
)ANOCOPIA INC
COST OF GOODS SOLD - LIQUOR HUTCH
1,753.09
12/13/2022
106182
VIVID IMAGE
WEBSITE SERVICES - MULTIPLE DEPTS
857.50
12/13/2022
106183
WASTE MANAGEMENT OF WI -MN
REFUSE TAKEN TO LANDFILL
7,151-22
12/13/2022
106184
WATERVILLE FOOD & ICE
WELCOME NEIGHBOR
COST OF GOODS SOLD - LIQUOR HUTCH
327.72
12/1312022
106185
NEW RESIDENT VISITS - LIQUOR HUTCH
60.00
1211312022
106186
WINE COMPANY,THE
COST OF GOODS SOLD - LIQUOR HUTCH
360.37
12113/2022
106187
WONDERLIC INC
WPTR ONLINE TEMPLETE SCORE - POLICE
100.00
Total - Check
Register A.
11
1
$ 1,65S,4S3.23
ILA
cR HUTCHINSON CITY COUNCIL
- Request for Board Action
A CITY ON PURPOSE.
Review of Council Member Appointments to City Boards and Commissions
Agenda Item:
Department: Administration
LICENSE SECTION
Meeting Date: 12/2712022
Application Complete N/A
Contact: Matt Jaunich
Agenda Item Type:
Presenter: Matt Jaunich
Reviewed by Staff M
Communications, Requests
Time Requested (Minutes): 10
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
As we prepare for our organizational meeting on January 3, the council should have a
discussion on appointments for the upcoming year. Please see the attached memo in regards to
this item.
BOARD ACTION REQUESTED:
No action required. Discussion only
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No 0
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
u
now
now
HUTCHINSON
A CITY ON PURPOSE.
Memo
Office of the City Administrator
111 Hassan Street SE
Hutchinson, MN 55350-2522
320-234-4241/Fax 320-234-4240
To: Mayor Forcier and City Council Members
From: Matt Jaunich, City Administrator
Date: 12/27/2022
Re: 2023 Board/Committee/Commission Appointments
As we prepare for the organizational meeting on Tuesday, January 3 at 9 a.m., below is
the current standing and temporary board/committee/commission appointments
assigned to city council members. After the last couple of elections, we had a discussion
in December about appointments for the upcoming year and I would like to do that
again this year. Procedural wise, it is up to the Mayor to bring forth the recommended
appointments with the City Council giving the final approval. This discussion will assist
the Mayor in bringing forth those recommendations in January. Mary's appointments,
who will need replacement next year, have been noted in red.
STANDING
1. AIRPORT COMMISSION — Gary Forcier
2. HUTCHINSON ECONOMIC DEVELOPMENT AUTHORITY (EDA) — Chad Czmowski
and Mary Christensen
3. HUTCHINSON HOUSING AND REDEVELOPMENT AUTHORITY (HRA) —Gary Forcier
4. JOINT PLANNING BOARD — Dave Sebesta
5. LIBRARY BOARD — Mary Christensen
6. MID-MINNESOTA DEVELOPMENT COMMISSION — Dave Sebesta
7. PARKS, RECREATION, COMMUNITY EDUCATION ADVISORY BOARD — Chad
Czmowski
8. PLANNING COMMISSION — Dave Sebesta
9. PUBLIC ARTS COMMISSION — Pat May
10. BICYCLE -PEDESTRIAN ADVISORY COMMITTEE — Pat May
11. HUTCHINSON DOWNTOWN ASSOCIATION — Gary Forcier
12. FIRE RELIEF ASSOCIATION — Fire Chief Mike Schumann, City Administrator
Matthew Jaunich, Mayor Gary Forcier
13. RESOURCE ALLOCATION COMMITTEE — Gary Forcier and Chad Czmowski
14. WAGE COMMITTEE — Pat May and Dave Sebesta
15. REGIONAL RADIO BOARD — Dave Sebesta
16. LABOR UNION NEGOTIATION COMMITTEE — Gary Forcier and Mary Christensen
17. SUSTAINABILITY BOARD — Pat May
18. MARKETING & BRANDING COMMITTEE — Pat May and Mary Christensen
TEMPORARY
1. NEW POLICE FACILITY CORE PLANNING GROUP — Gary Forcier and Mary
Christensen
2. LAKES/RIVER BASIN STUDY TECHNICAL ADVISORY PANEL (TAP) — Gary Forcier
and Chad Czmowski
I have also included a breakdown of past appointments with this memo.
Matt
4
Hutchinson Boards, Committees, and Commissions
Council Representatives to Boards & Commissions
2018
2019
2020
2021
2022
Airport Commission
Gary Forcier
Gary Forcier
Gary Forcier
Gary Forcier
Gary Forcier
EDA Board
Chad & Mary
Chad & Mary
Chad & Mary
Chad & Mary
Chad & Mary
HRA Board
Gary Forcier
Gary Forcier
Gary Forcier
Gary Forcier
Gary Forcier
Library Board
Mary Christensen
Mary Christensen
Mary Christensen
Mary Christensen
Mary Christensen
Parks, Rec., Comm. ED Advisory Board
Chad Czmowski
Chad Czmowski
Chad Czmowski
Chad Czmowski
Chad Czmowski
Planning Commission
John Lofdahl
Dave Sebesta
Dave Sebesta
Dave Sebesta
Dave Sebesta
Public Arts Commission
Steve Cook
Steve Cook
Steve Cook
Brandon Begnaud
Pat May
Bicycle/Pedestrian Advisory Committee
Steve Cook
Steve Cook
Steve Cook
Brandon Begnaud
Pat May
Sustainability Board
NA
NA
Steve Cook
Brandon Begnaud
Pat May
Council Representatives to other Committees
2018
2019
2020
2021
2022
Mid -Minnesota Development Commission
John Lofdahl
Dave Sebesta
Dave Sebesta
Dave Sebesta
Dave Sebesta
Hutchinson Downtown Association
Gary Forcier
Gary Forcier
Gary Forcier
Gary Forcier
Gary Forcier
Fire Chief, Mayor,
Fire Chief, Mayor,
Fire Chief,
Fire Chief,
Fire Chief,
Fire Relief Association
Admin
Admm
Mayor, Admin
Mayor, Admin
Mayor, Admin
Joint Planning Board
John Lofdahl
Dave Sebesta
Dave Sebesta
Dave Sebesta
Dave Sebesta
Resource Allocation Committee
Gary & Chad
Gary & Chad
Gary & Chad
Gary & Chad
Gary & Chad
Wage Committee
Steve & John
Steve & Dave
Steve & Dave
Brandon & Dave
Pat & Dave
Labor Union Negotiation Committee
Gary & Mary
Gary & Mary
Gary & Mary
Gary & Mary
Gary & Mary
Regional Radio Board
Mary Christensen
Dave Sebesta
Dave Sebesta
Dave Sebesta
Dave Sebesta
Marketing & Branding Committee
NA
Steve & Mary
Steve & Mary
Brandon & Mary
Pat & Mary
Other City -Related Committees, Commissions, and Boards (No Council Representation)
Charter Commission
Regional Library Board
Council Representatives on Temporary Committees
Senior Advisory Board Fleet Committee Fleet Committee
Facility Committee
Hutchinson Boards, Committees, and Commissions
2018 2019 2020 2021 2022
New Police Facility Core Planning Group NA Steve & Mary Steve & Mary Gary & Mary Gary & Mary
Lakes/River Basin Study Technical
Advisory Panel (TAP NA Gary & Steve Gary & Steve Gary & Chad Gary & Chad
Highway 15 Project Citizen Advisory
Group NA Chad & Steve Chad & Steve NA NA
Council Vice President Chad Czmowski Chad Czmowski Chad Czmowski Chad Czmowski Chad Czmowski
FR
Fs HUTCHINSON CITY COUNCIL
H UTC H I N SO N Request for Board Action
A CITY ON PURPOSE.
Resolution 15519 Adopting the 2023 Fee Schedule
Agenda Item:
Department: Finance
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Justin Juergensen
Agenda Item Type:
Presenter:
Reviewed by Staff ❑�
New Business
Time Requested (Minutes): 3
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
As was brought forth at the last council meeting, attached is the 2023 Fee Schedule for City
operations with all proposed changes shown in red font. Lynn Neumann will be in attendance
at the 12/27/2022 meeting to answer the questions regarding the rates being charged for the
Depot rental structure.
BOARD ACTION REQUESTED:
Approve Resolution 15519 Adopting the 2023 Fee Schedule.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
CITY OF HUTCHINSON
RESOLUTION NO. 15519
ADOPTING 2023 FEE SCHEDULE
WHEREAS, the City of Hutchinson is empowered by previously passed ordinances to impose
fees for services, and
WHEREAS, based upon the recommendation of costs for providing the services for
various city departments
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
HUTCHINSON, MINNESOTA THAT THE FOLLOWING FEE SCHEDULES ARE ADOPTED AND
THAT THESE FEE SCHEDULES REPLACE ANY FEE SCHEDULES PREVIOUSLY APPROVED
BY THE HUTCHINSON CITY COUNCIL.
2023 Building Permit Fee Schedule
2023 Compost/Transfer Facility Fee Schedule
2023 Event Center Fee Schedule
2023 Evergreen Reservation Fee Schedule
2023 Finance Department Fee Schedule
2023 Fire Department Fee Schedule
2023 HRA Fee Schedule
2023 Legal Department Fee Schedule
2023 Licenses and Permits Fee Schedule
2023 Liquor License Fee Schedule
2023 Mapping and Printing Service Fee Schedule
2023 Parks, Recreation, and Community Education Fee Schedule
2023 Planning and Land Use Fee Schedule
2023 Police Department Fee Schedule
2023 Public Works Fee Schedule
*Fee Schedules Attached
Adopted by the City Council this 27th day of December 2022.
ATTESTED:
Matthew Jaunich
City Administrator
APPROVED:
Gary T. Forcier
Mayor
H TCHIN ON
A CITY ON PURPOSE.
2023 FEE SCHEDULE
Proposed - 12/27/2022 Council Meeting
City of Hutchinson
2023 Fee Schedule
Fee Schedule includes the following (in alphabetical order)
Page
- Building/Plumbing/Mechanical permits
3
- Creekside
5
- Event Center
6
- Evergreen Senior Dining
7
- Finance
7
- Fire Department
8
- H RA
8
- Legal
9
- Licenses (general)
9
- Licenses (liquor)
10
- Mapping/Printing
10
- Parks, Recreation, Community Education
11
- Plan Review
14
- Planning/Land Use
14
- Police Department
15
- Public Works: Engineering
17
Water
18
Wastewater
19
Garbage
21
Storm Water
21
Cemetery
22
Airport
23
Operations & Maintenance
23
Page 2 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
%
Last
Change
Change
Building/Plumbing/Mechanical Permits
Fixed Fees:
1 & 2 Family Residential Reroofing
$60.00
plus surcharge fee
$60.00
0.0%
2022
1 & 2 Family Residential Residing
$60.00
plus surcharge fee
$60.00
0.0%
2022
1 & 2 Family Residential Window/Door Replacement
$60.00
plus surcharge fee
$60.00
0.0%
2022
Manufactured (Mobile) Home Install
$185.00
plus surcharge fee. Separate mechanical & plumbing permit
$185.00
0.0%
2011
required.
Utility Sheds
$60.00
under 200 sq. ft - surcharge does not apply.
$60.00
0.0%
2022
$21.20 lsq-ft-
81. ^f e" '^ ' �^ f
$21.20 4s .
0.0%
2016
Moving Permit
$175.00
plus surcharge fee, includes excavation permit fee,
$175.00
0.0%
2011
if applicable
Demolition Permit
$60.00
Residential remodels & accessory structures
$60.00
0.0%
2022
$125.00
Residential demolition
$125.00
$250.00
Commercial demolition
$250.00
Residential Square Foot Valuation:
Dwellings
$134.27 /sq.ft.
Rate x Sq. Ft. to arrive at the
Construction Valuation which is
$116.22 /sq.ft.
15.5 %
2022
Basements Finished
$20.00 /sq.ft.
$20.00 /sq.ft.
0.0%
2022
Unfinished
$20.65 /sq.ft.
used to calculate the actual fee
$20.65 /sq.ft.
0.0%
2022
(see fee rates under Construction Valuation)
Example: 100 sq. ft. 3-Season Porch
Porches 3 Season Porch
$93.98 /sq.ft.
$81.35 /sq.ft.
15.5 %
2022
4 Season Porch
$134.27 /sq.ft.
Construction Valuation = $93.98 x 100 sq. ft
$116.22 /sq.ft.
15.5 %
2022
Screened Porch
$53.71 /sq.ft.
Construction Valuation = $9,398
Fee ($2,001-$25,000 valuation range)
$46.49 /sq.ft.
15.5 %
2022
Garages Attached
$53.78 /sq.ft.
$45.64 /sq.ft.
17.8%
2022
Detached
$29.58 /sq.ft.
1st $2,000 of value: $ 80.17
$25.10 /sq.ft.
17.8%
2022
Remaining value $7,398/1,000 x $15.44 $114.23
Total Fee: $194.40
Gazebo
$28.75 /sq.ft.
$25.00 /sq.ft.
15.0%
2022
Deck
$26.75 /sq.ft.
$25.00 /sq.ft.
15.0%
2022
Construction Valuation:
$1 - $1,200
$52.37
minimum valuation and permit amount
$52.37
0.0%
2017
$1,201 - $2,000
$55.68
for the first $1,200 plus $3.36 for each additional $100
$55.68
0.0%
2017
or fraction thereof to and including $2,000
$2,001 - $25,000
$80.17
for the first $2,000 plus $15.44 for each additional $1,000
$80.17
0.0%
2017
or fraction thereof to and including $25,000
$25,001 - $50,000
$452.92
for the first $25,000 plus $11.14 for each additional $1,000
$452.92
0.0%
2017
or fraction thereof to and including $50,000
$50,001 - $100,000
$745.23
for the first $50,000 plus $7.72 for each additional $1,000
$745.23
0.0%
2017
or fraction thereof to and including $100,000
$100,001 - $500,000
$1,150.39
for the first $100,000 plus $6.17 for each additional $1,000
$1,150.39
0.0%
2017
or fraction thereof to and including $500,000
$500,001 - $1,000,000
$3,743.47
for the first $500,000 plus $5.25 for each additional $1,000
$3,743.47
0.0%
2017
or fraction thereof to and including $1,000,000
$1,000,001 and Up
$6,492.83
for the first $1,000,000 plus $3.48 for each additional
$6,492.83
0.0%
2017
$1,000 or fraction thereof.
Page 3 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Last
Change
Change
Penalty Fee
Double the Permit Fee - per City Administrator's
memo of 5-17-88
Refund Policy
Refunds may be available at the discretion of the
Building Official.
Plumbing Permit Fees:
Fixture of Item Fee $15.00 $12 per roughed -in fixture or item. Minimum of $60.00 $12.00 25.0% 2011
Mechanical Permit Fees:
Gas Conversion Connection (switch)
$125.00
plus surcharge fee
$125.00
0.0%
2011
Gas Appliance Replacement
$60.00
plus surcharge fee
$50.00
20.0%
2011
Mechanical Fee
1.25%
Valuation X 1.25%- plus State surcharge.
1.25%
0.0%
2011
Minimum of $60.00 plus State surcharge.
Miscellaneous Fees:
Rental registration/inspection
$25.00 /urilt
Initial inspection and 1 follow up inspection, if needed
$20.00 /unit
25.0%
2016
Rental Unit Reinspection
$60.00 /unit
Second follow-up inspection
$50.00 /unit
20.0%
2016
Double the cost of
Subsequent additional/follow-up inspections
Double the cost of
previous inspection
previous inspection
Failure to Appear at Scheduled Rental Inspection
$60.00
Fee for not showing up at scheduled inspection
$50.00
20.0%
2011
Rental Complaint Inspection
$60.00
$50.00
20.0%
2011
Existing Home Inspection (FMHA)
$100.D0
$75.00
33.3%
2011
Parkland Dedication
Per subdivision ordinance
Temporary Certificate of Occupancy
Refundable Deposit
Add'I staff time and follow-up is required for temp C.O.s.
Refundable Deposit
Deposit of $500.00 required and will be refunded if final
within timeframe established by Building Department
Temporary Permits, including footing and foundation
$125.00
Temporary permits allow limited work to be done prior to
$125.00
0.0%
2011
permits and preconstruction demolition
complete plan submittal and review
All other non -specified inspections*
$75.00
Minimum fee plus State surcharge
$60.00
25.0%
2011
* or the total hourly costs of the jurisdiction, whichever is
the greatest. The cost shall include supervision, overhead
equipment, hourly wages, and fringe benefits of the
employees involved.
Fire Sprinkler Fees:
New or Additional Fire Sprinkler Systems
1.25%
Fee is equal to 1.25% (.0125) of the total fire sprinkler
1.25 %
0.0 %
2011
contract amount, plus a State surcharge.
Minimum of $50 plus State surcharge.
Page 4 of 2-1
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
%
Last
Change
Change
Creekside
Gate Fee:
McLeod County Residential yard waste,
No Charge
ID required, Only Compostable bags accepted
No Charge
2001
leaves, grass clippings, garden waste, etc.
NO plastic bags or garbage
McLeod County Residential wood waste,
No Charge
Must be free of dirt and garbage, dirty loads will be rejected
No Charge
2001
brush and log material only
NO root balls accepted
McLeod County Residential Pallet, Crate & Demo Wood
Not Accepted
No painted, stained or treated wood accepted
No Charge
2001
Must be free of plastic and paper
Commercial Yardwaste - commingled or separated
$12.00 /ton
Commingled yardwaste and brush mixed
$12.00 /ton
0.0 %
2018
Compostable bags only, no plastic bags
Commercial Source Separated Organics
$45.00 /ton
Prior approval of acceptance of materials is required
$42.00 /ton
7.1 %
2022
Non-compostables not accepted, other fees may apply
Commercial Wood Waste, brush and log materials only
No Charge
Must be free of dirt and garbage, dirty loads will be rejected
No Charge
2018
NO root balls accepted
Commercial Pallets, Crates and Demo Wood
Not Accepted
No painted, stained or treated wood accepted
$30.00 /ton
2018
Must be free of plastic and paper
Stump Grindings Disposal
No Charge
Must be free of rock, whole roots and whole limbs
No Charge
2001
Black Dirt/Sod Tear -out
No Charge
Must be free of rock, clay, garbage
New for 2023
Concrete and Asphalt Rubble, Clean
No Charge
As determined by Creekside staff review
No Charge
2001
Must be free of dirt, clay, rebar and other contaminants
Concrete and Asphalt Rubble, Dirty
$10.00 /ton
As determined by Creekside staff review
$10.00 /ton
0.0 %
2018
Reinforced Concrete Structures
$40.00 /ton
Includes reinforced concrete pipe (RCP), manholes,
$35.00 /ton
14.3 %
2018
catch basins, etc.
Certified Scale Ticket
$10.00 /ea
Per ticket issued. Customers/trucks may record their own
$10.00 /ea
0.0 %
2019
weights for no charge.
Equipment Rates:
Horizontal Wood Grinder
Includes operator, wheel loader to feed grinder and fuel.
Governmental Rate
$423.50 /hr
Machine repairs as a result of damage from contamination
$385.00 /hr
10.0 %
2022
Rate for all other Customers
$605.00 /hr
in customer's feedstock will be billable to customer
$550.00 /hr
10.0 %
2022
Subject to fuel surcharge.
Wheel Loader Governmental Rate
$104.50 /hr
Operator and fuel included, subject to fuel surcharge
$95.00 /hr
10.0 %
2022
Rate for all other Customers
$132.00 /hr
$120.00 /hr
10.0 %
2022
Trommel Screener Governmental Rate
$115.50 /hr
Operator, fuel and equipment to feed screener are not
$105.00 /hr
10.0 %
2022
included in this rate.
Rate for all other Customers
$165.00 /hr
$150.00 /hr
10.0 %
2022
65' Radial Stacking Conveyor
$19.60 /hr
Operator and fuel not included
$18.00 /hr
10.0 %
2018
Portable Light Tower Rental
$110.00 /event
Cost is per unit, two units available to rent
$100.00 /event
10.0 %
2022
Mobilization Charges
$126.50 /hr
Roundtrip for delivery and pickup of equipment to and from
$115.00 /hr
10.0 %
2022
customers job site. Subject to fuel surcharge.
Page 5 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Last
Change
Change
Event Center
Great Room: Monday - Thursday
$350.00
Seating up to 525 dinner or 1,100 theatre
$350.00
0.0%
2017
Friday, Saturday, Holidays
$700.00
$700.00
0.0%
2017
Sunday
$475.00
$475.00
0.0%
2018
Linen Service Fee
$95.00
$95.00
0.0%
2013
Wedding / Quinceanara
$2,500.00
All-inclusive fee
2,500.00
0.0%
2018
Half Great Room: Monday - Thursday
$190.00
Seating up to 250 dinner or 550 theatre
$190.00
0.0%
2018
Friday, Saturday, Holidays
$450.00
$450.00
0.0%
2018
Sunday
$300.00
$300.00
0.0%
2018
Linen Service Fee
$50.00
$50.00
0.0%
2013
Wedding/Quinceanara
$1,600.00
All-inclusive fee
1,600.00
0.0%
2018
Quarter Great Room: Monday - Thursday
$100.00
Seating up to 100 dinner or 125 theatre
$100.00
0.0%
2017
Friday, Saturday, Holidays
$225.00
$225.00
0.0%
2014
Sunday
$175.00
$175.00
0.0%
2017
Linen Service Fee
$25.00
$25.00
0.0%
2013
Wedding / Quinceanara
$700.00
All-inclusive fee
$700.00
0.0%
2019
Meeting Room: Ambassador
$25.00
Seating for 40 - two hour minimum
$25.00
0.0%
2017
Westlund
$25.00
$25.00
0.0%
2017
McCormick
$25.00
$25.00
0.0%
2017
Program Room: Cash Wise
$125.00
Seating for 75 - two hour minimum
$125.00
0.0%
2013
Mid Country
$25.00
Seating for 15 - two hour minimum
$25.00
0.0%
2018
Stearns
$25.00
Seating for 15 - two hour minimum
$25.00
0.0%
2018
Hoefer
$25.00
Seating for 15 - two hour minimum
$25.00
0.0%
2018
LCD Projector 3500 Lumen
$325.00
$325.00
0.0%
2018
LCD Projector 1100 Lumen
$125.00
$125.00
0.0%
2018
Overhead Projector
$30.00
$30.00
0.0%
2018
Slide Projector
$30.00
$30.00
0.0%
2018
Front Truss Screen 9X12
$90.00
$90.00
0.0%
2018
Rear Truss Screen 9X13
$125.00
$125.00
0.0%
2018
Podium
$12.00
$12.00
0.0%
2018
Podium with Microphone
$40.00
$40.00
0.0%
2018
Wireless Microphone
$40.00
$40.00
0.0%
2018
TV & VCR Lap top
$35.00
$35.00
0.0%
2018
VCR/DVD/CD Player
$25.00
$25.00
0.0%
2018
Internet Connection
$0.00
No Charge
$0.00
0.0%
2018
Piano
$30.00
$30.00
0.0%
2018
Refundable Damage Deposit
$300 /event
$300 /event
0.0%
2014
White Board/Stand 3X4
$14.00 /day
$14.00 /day
0.0%
2018
White Board/Stand 4X6
$17.00 /day
$17.00 /day
0.0%
2018
Page 6 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Last
Change
Change
Coffee
$15.00 /30 cups
Hutchinson Event Center catered events
$15.00 /30 cups
0.0%
2014
$20.00 /50 cups
Non HEC catered events
$20.00 /50 cups
0.0%
2014
Tripod Screen 6'
$15.00 /day
$15.00 /day
0.0%
2018
Tripod Screen 8'
$20.00 /day
$20.00 /day
0.0%
2018
Food Fee -Large Group
$80.00 /day
$80.00 /day
0.0%
2017
Food Fee -Small Group
$50.00 /day
$50.00 /day
0.0%
2014
China/Flatware
$1.00 /place setting
Food vendor may add additional fees
$1.00 /place setting
0.0%
2013
Draper Easels
$8.00 /day
$8.00 /day
0.0%
2018
Speaker Phone
$25.00 /day
$25.00 /day
1 0.0%.
2018
Evergreen Senior Dining
Dining Room & Kitchenette
$100.00
$100.00
0.0%
2009
Carpeted Room
$60.00
$60.00
0.0%
2009
After Hours Open or Lock -up
$50.00
$50.00
0.0%
2007
Damage Deposit
$100.00
Separate check to be returned when keys are returned
$100.00
0.0%
2007
and if rooms are cleaned up and no damage has occurred
Finance
Returned check from the bank (NSF or Closed Account)
$10.00
Administrative Fee
$30.00
-66.7%
2010
Online Payments - ACH, Credit Card or Bank Checks
$10.00
Administrative Fee
$30.00
-66.7%
2018
Lodging Tax - City of Hutchinson
3.00%
per City ordinance 116.01 Set by City Ordinance
3.00%
0.0%
1989
Lodging Tax - penalty for late payment
10.00%
per City ordinance 116.22 Set by City Ordinance
10.00%
0.0%
1989
Local Option Sales Tax:
Local Sales Tax Rate
0.50%
On retail sales made within, or delivered within, the city limits
0.50%
0.0%
2012
of Hutchinson. The tax applies to sales that are taxable
under the Minnesota sales and use tax laws.
Local Excise Tax
$20.00
Per new or used vehicle sold by a dealer located within
420.00
0.0%
2012
Hutchinson, in lieu of the Local Sales Tax Rate.
Local Excise Tax - Late Fee
10.00%
Dealers are required to report excise tax by the 15th day of
10.00%
0.0%
2017
the following month. The late fee shall be imposed if not pald
by the 20th day of the following month.
Tax Increment Financing (TIF) Application Fee
$15,000.00
Developers must pay an application fee to cover the legal
15,000.00
0.0%
2019
- as approved by the Hutchinson EDA on 11/28/2018
and consultant costs in establishing a new TIF district.
1
Any unused monies will be returned to the developer.
Page 7 at 21
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Change
Last
Change
Fire De artment 2021 fee changes as recommended by the McLeod County Fire
p Chiefs Association, for consistency purposes
Fire Engine
$250.00 /hr
each hour on scene
$250.00 /hr
0.0%
2021
Platform Truck (Ladder)
$350.00 /hr
each hour on scene
$350.00 /hr
0.0%
2014
Water Tanker Truck
$175.00 /hr
each hour on scene
$175.00 /hr
0.0%
2021
Grass Truck/Unit
$150.00 /hr
each hour on scene
$150.00 /hr
0.0%
2021
Utility Truck with 2 Firefighters
$100.00 /hr
each hour on scene
$100.00 /hr
0.0%
2021
ATV/UTV with 2 Firefighters
$150.00 /hr
each hour on scene
$150.00 /hr
0.0%
2021
Boat with 2 to 4 Firefighters
$150.00 /hr
each hour on scene
$150.00 /hr
0.0%
2021
Air Supply Unit
$75.00 /hr
each hour on scene
$75.00 /hr
0.0%
2021
Rescue
$200.00 /hr
$200.00 /hr
each hour on scene - previously was for the first hour
Each hour after the first hour on scene
$200.00 /hr
$200.00 /hr
0.0%
0.0%
2014
2021
HERT Trailer (Haz-Mat)
$50.00 /hr
$50.00 /hr
0.0%
2010
Incident Commander (IC)
$50.00 /hr
each hour on scene
$50.00 /hr
0.0%
2014
Certified Firefighter
$30.00 /hr
each hour on scene
$30.00 /hr
0.0%
2014
Repeat False Alarm (ie: faulty alarm systems)
$500.00 /occurence
Calculatioh based on the apparatus and labor charges per
each hour on scene
$500.00 /occurence
0.0%
2017
Fire Safety Inspection
$50.00
Daycare/Foster Care units, Basic Commercial and
Residential include one free re -inspection
$50.00
0.0%
2017
Fire Incident Reports (paper or electronic copies)
$0.25 /page
N/A
pictures included in report
$0.25 /page
N/A
0.0%
2021
2017
Fireworks:
Fireworks Only Business & Tent Sales
Other retailers
$350.00
(Jan 1 - Dec 31)
$100.00
(Jan 1 - Dec 31)
Fees are the Maximum amount allowed by State Statute
License fee is non-refundable, cannot be prorated,
and cannot be waived
License fee is non-refundable, cannot be prorated,
and cannot be waived
$350.00
(Jan 1 - Dec 31)
$100.00
(Jan 1 - Dec 31)
0.0%
0.0 %
2010
2010
HRA
Pre Energy Audit / Post Energy Audit
Variable
Current Contractor Fee
Variable
0.0%
2022
Subordination Request Processing Fee
$100.00
$100.00
0.0%
2003
Duplicate Document Fee
$50.00
$50.00
0.0%
2007
$2,699.00
$350.00
Removed for 2023 at HRA request
QWRAF matgh tg CRID1
$2,699.90
$350.00
0-0°!
0-0°!
2015
2015
GMHF & CRV Gap Loan Admin Fee
$500.00
$500.00
0.0%
2017
SCDP Rental Rehab Project & Revolving Loan Admin Fee
15.00%
% of SCDP Loan
15.00%
0.0%
2022
HRA Entry Cost Loan Admin Fee
$400.00
$400.00
0.0%
2014
Revolving New Const. Gap Loan Admin Fee
$700.00
$700.00
0.0%
2016
Credit Report Fee: Single
Joint
$20.00
$40.00
$20.00
$40.00
0.0%
0.0%
2019
2022
$450.00
PeF WR t, 2 9F FRGFe Feqi psts gt a t Fng
$459.90
0-0°!
200@
$259.99
$75.00
$259.99
$7 00
B-0°!
0-0°!
2016
2016
Page 8 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Change
Last
Change
Lead Risk Assessment & Lead Clearance Testing
Variable
Current Contractor Fee
$0.00
0.0%
2023
City Deferred Grants Administration Fee (TIF)
10.00%
% of loan amount
10.00%
0.0%
2016
FUF/CFUF & HHILP Title Search Fee
$50.00
$50.00
0.0%
2017
FUF/CFUF & HHILP Loan Document Preparation Fee
$75.00
$50.00
50.0%
2008
FUF/CFUF & HHILP Loan Origination Fee
1.00%
% of loan amount
1.00%
0.0%
2008
HRA HILP Loan Application Fee
$350.00
$350.00
0.0%
2016
Housing Quality Standards (HQS) Inspection Fee
$600.00
$600.00
0.0%
2017
Legal
Attorney's Fees for Litigation
$150.00 /hr
Charged per 1/4 hour
$150.00 /hr
0.0%
2019
Paralegal's Fees for Litigation
$75.00 /hr
Charged per 1/4 hour
$75.00 /hr
0.0%
2019
Contract Review Fee
$150.00 /hr
Charged per 1/4 hour
$150.00 /hr
0.0%
2019
Attorney's Fees for Rental Registration Prosecution
$150.00 /hr
Charged per 1/4 hour
$150.00 /hr
0.0%
2019
Paralegal's Fees for Rental Registration Prosecution
$75.00 /hr
Charged per 1/4 hour
$75.00 /hr
0.0%
2019
Dangerous Dog Designation Hearing
Up to $1,000.00
Up to $1,000.00
0.0%
2008
Licenses
Carnival
$525.00
Refundable deposit
$525.00
0.0%
2009
Dance Permit (short term)
$55.00
$55.00
0.0%
2009
Food Cart
$125.00
$30.00
Annual License
Temporary License - for up to 3 consecutive days
$125.00
30.00
0.0%
0.0%
2013
2020
Garbage & Refuse Haulers:
Commercial
Residential
Recycling
Recycling
$125.00
$125.00
$55.00
$30.00 /day
January 1 - December 31
January 1 - December 31
January 1 - December 31
Per Day
$125.00
$125.00
$55.00
$30.00 /day
0.0%
0.0%
0.0%
0.0%
2009
2009
2009
2009
Massage Services
$175.00
January 1 - December 31
$175.00
0.0%
2009
Peddler/Solicitor/Transient Merchant
$125.00
$30.00
Annual License
Temporary License - for up to 3 consecutive days
$125.00
30.00
0.0%
0.0%
2009
2020
Pawn Shops and Precious Metal Dealers
$125.00
January 1 - December 31
$125.00
0.0%
2009
Second Hand Goods Dealers
$125.00
January 1 - December 31
$125.00
0.0%
2009
Short -Term Gambling
$30.00
Short Term
$30.00
0.0%
2009
Shows/Exhibitions
$100.00
Short Term
$100.00
0.0%
2010
Tattoo License
$175.00
January 1 - December 31
$175.00
0.0%
2009
Taxi Cab License (per cab)
1 $5.00 /cab
1,1anuary 1 - December 31
$5.00 /cab
0.0%
2009
Tobacco License
1 $175.00
1,1anuary 1 - December 31
$175.00
0.0 %
2009
Page 9 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
%
Change
Last
Change
Liquor Licenses:
Club Liquor License
Under 200 Members
201 - 500 Members
501 - 1000 Members
1001 - 2000 Members
2001 - 4000 Members
4001 - 6000 Members
Over 6000 Members
$300.00
$500.00
$650.00
$800.00
$1,000.00
$2,000.00
$3,000.00
Club fees are currently at maximum amount per State Statute
January 1 - December 31
January 1 - December 31
January 1 - December 31
January 1 - December 31
January 1 - December 31
January 1 - December 31
January 1 - December 31
$300.00
$500.00
$650.00
$800.00
$1,000.00
$2,000.00
$3,000.00
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
2009
2009
2009
2009
2009
2009
2009
Consumption & Display
$250.00
$25.00 /event
January 1 - December 31 Set by statute, max of $300
Temporary
$250.00
$25.00 /event
0.0%
0.0%
2012
2012
Wine License
$425.00
January 1 - December 31 Set by statute, max of $1,000
$425.00
0.0%
2009
On -Sale Malt Liquor License
$300.00
January 1 - December 31
$300.00
0.0%
2022
On -Sale Intoxicating Malt Liquor & Wine License
$600.00
January 1 - December 31
$600.00
0.0%
2009
On -Sale Intoxicating Liquor License
$2,000.00
January 1 - December 31 (prorate, refundable)
$2,000.00
0.0%
2015
On -Sale Sunday Intoxicating Liquor License
$125.00
$100.00
January 1 - December 31 Set by statute, max of $200
Temporary License (One Day)
$125.00
$100.00
0.0%
0.0%
2009
2009
On -Sale 3.2 Malt Liquor License
$425.00
$75.00
January 1 - December 31 (nonrefundable)
Short Term (up to seven days in a calendar year)
$425.00
$75.00
0.0%
0.0%
2009
2013
Off -Sale 3.2 Malt Liquor License
$300.00
January 1 - December 31 (nonrefundable)
$300.00
0.0%
2009
Temporary Liquor License
$125.00
$125.00
0.0%
2013
Intoxicating Liquor Investigations
$375.00
Nonrefundable
$375.00
0.0%
2009
3.2 Malt Liquor Investigations
$125.00
Nonrefundable
$125.00
0.0%
2009
Caterer's Permit
$100.00
$300.00
Per Event
Annual
$100.00
$300.00
0.0%
0.0%1
2010
2010
Brewer (off -sale)
$375.00
Annual
$375.00
0.0%
2014
Brew pub off -sale
$375.00
Annual
$375.00
0.0%
2014
Taproom (on -sale)
$600.00
Annual
$600.00
0.0%
2014
Mapping and Printing
Comprehensive Plan
Book
DC
Color Copy with Foldouts
$25.00
$15.00
$75.00
Website copy available free of charge
Four books
$25.00
$15.00
$75.00
0.0%
0.0%
0.0%
2009
2009
2009
Subdivision Ordinance
$20.00
$20.00
0.0%
2009
Zoning Manual
$20.00
$20.00
0.0%
2009
Zoning/Shoreland/Subdivision Manual
$40.00
$40.00
0.0%
2009
Joint Planning Area Zoning Manual
$20.00
$20.00
0.0%
2009
Subdivision Agreement
$1.00 /page
$1.00 /page
0.0%
2009
8 1/2" X 11" - Black & White print
$0.25 /page
$0.25 /page
0.0%
2009
8 1/2" X 11" - Color print
$1.50 /page
$1.50 /page
0.0%
2009
Legal or Tabloid Size - Black & White print
$1.00 /page
$1.00 /page
0.0%
2009
Legal or Tabloid Size - Color print
$3.00 /page
$3.00 /page
0.0%
2009
18" X 24" - Black & White print
$1.50 /page
$1.50 /page
0.0%
2009
18" X 24" - Color print
$4.50 /page
S4.50 /page
0.0 %
2009
Page 10 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Change
Last
Change
24" X 36" - Black & White print
$3.00 /page
$3.00 /page
0.0%
2009
24" X 36" - Color print
$9.00 /page
Small city zoning map
$9.00 /page
0.0%
2009
36" X 36" - Black & White print
$4.50 /page
54.50 /page
0.0%
2009
36" X 36" - Color print
$14.00 /page
$14.00 /page
0.0%
2009
36" X 48" - Black & White print
$6.00 /page
$6.00 /page
0.0%
2009
36" X 48" - Color print
$18.00 /page
$18.00 /page
0.0%
2009
Roll Paper Printing
$1.50 /sq.ft.
$1.50 /sq.ft.
0.0%
2009
Specialty Map preparation
$27.50 /hr
Map printing at charges noted above, one hour minimum,
1/4 hour increments thereafter, approved by City IT director
$27.50 /hr
0.0%
2009
8 1/2" X 11"
$5.00
Color orthophoto prints
$5.00
0.0%
2009
Legal or Tabloid
$9.00
Color orthophoto prints
$9.00
0.0%
2009
18" X 24"
$20.00
Color orthophoto prints
$20.00
0.0%
2009
24" X 36"
$30.00
Color orthophoto prints
$30.00
0.0%
2009
36" X 36"
$40.00
Color orthophoto prints
$40.00
0.0%
2009
36" X 48"
$50.00
Color orthophoto prints
$50.00
0.0%
2009
Digital Data Orthophoto
$550 /sq.mile
Minimum charge of $550.00
$550 /sq.mile
0.0%
2009
Digital Data Contours
$550 /sq.mile
Minimum charge of $550.00
$550 /sq.mile
1 0.0%1
2009
Digital Data Planimetrics
$250 /sq.mile
Minimum charge of $250.00
$250 /sq.mile
1 0.0%1
2009
- Purchase a combination of all three data sets for $1,350 /sq. mile not to exceed a maximum charge of $18,100
- Special mapping requests = Data Price + $50 /hr
- All data is provided in Arcview Shape File format on a CD
- An additional $50 charge will be applied to digital data converted to a .dxf format for CAD systems
- The City reserves the right to waive fees by Council direction for other governmental organizations. Commercial -type printing of private,
Parks, Recreation & Community Education
Aquatic Center:
Daily Admission All Swimmers
24 months and younger
Spectators
After5pm
Morning Fitness
Season Pass Individual
Each additional family member
Senior (age 60 years+)
Each additional senior family
Discount Tickets 12 admissions
Rentals Party Tent Rentals
$8.00
FREE
$4.00
$5.00
$5.00
$100.00
$40.00
$85.00
$25.00
$72.00
$20.00
morning fitness, lap swim, river walking
includes morning fitness, lap swim, river walking
example: $220 for a family of four ($100+$40+$40+$40)
includes morning fitness, lap swim, river walking
example: $110 for a family of two seniors ($85+$25)
for 2 hours
$8.00
FREE
$4.00
$5.00
$5.00
$100.00
$40.00
$85.00
$25.00
$72.00
$20.00
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
2022
2017
2017
2017
2022
2022
2022
2022
2022
2022
2017
Youth Sports/Activities:
Adaptive Recreation
$5.00 /session
per session
$5.00 /session
0.0%
2017
T-Ball / Tiger Ball (PreK - Grade 2)
$45.00
12 sessions
$45.00
0.0%
2022
Girls Fastpitch Softball (Grades 3 - 12)
$200.00
30 sessions
$200.00
0.0%
2022
Baseball (Grades 3 - 8)
Fee to Association
14 sessions - Association determines the fee
Fee to Association
Page 11 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Last
Change
Change
Basketball: Preschool
$35.00
7sessions
35.00
0.0%
2022
K - Grade 2
$40.00
7 sessions
40.00
0.0%
2022
Grades 3 - 4
$55.00
14 sessions
55.00
0.0%
2022
Grades 5 - 6
Fee to Association
24 sessions - Association determines the fee
Fee to Association
Football: Flag
$35.00
6sessions
$35.00
0.0%
2022
Tackle
$80.00
14 sessions
$80.00
0.0%
2022
Soccer: Indoor
$35.00
6sessions
$35.00
0.0%
2022
Outdoor: Grades K-3
$35.00
6 sessions
$35.00
0.0%
2022
Outdoor: Grades 4-6
$50.00
12 sessions
$50.00
0.0%
2022
Figure Skating: Tots -Delta
$90.00
14 sessions
$84.00
7.1 %
2018
Sunday Practice
$96.00
14 sessions
$88.00
9.1 %
2018
Open Skating Pass: Students/Seniors
$50.00
$50.00
0.0%
2018
Adults
$60.00
$60.00
0.0%
2018
Families
$80.00
$80.00
0.0%
2018
Open Skating: Sunday
$3.00 /day
per youth per day
$3.00 /day
0.0%
2018
Non -School Days
$4.00 /day
per adult per day
$4.00 /day
0.0%
2018
School Days
$3.00 /day
per adult per day
$3.00 /day
0.0%
2018
School Days
$4.00 /day
per family per day
$4.00 /day
0.0%
2018
Family Hour
$4.00 /day
per adults
$4.00 /day
0.0%
2018
Family Hour
$6.00 /day
per family
$6.00 /day
0.0%
2018
Swimming Lessons
$50.00
101essons
$50.00
0.0%
2022
Adult Sports:
Men's Basketball
$14.00
per game per team
$13.00
7.7 %
2019
Slowpitch Softball (Umpired Leagues)
$14.00
per game per team
$13.00
7.7 %
2019
Volleyball: Co-Rec
$14.00
per match per team
$13.00
7.7 %
2019
Sand
$75.00
per team 10 matches
$75.00
0.0%
2019
Women's
$14.00
per match per team
$13.00
7.7%
2019
Open Basketball
$3.00
per person
$3.00
0.0%
2018
Open Hockey
$5.00 /day
per person per day
$5.00 /day,
0.0%
2001
Other Fees:
West River Park Camping:
Tents
$20.00
$15.00
33.3%
2017
Electric Hook -Up
$30.00
$25.00
20.0 %
2017
Water, Sewer, Electric
$40.00
$35.00
14.3%
2020
Field Rental
$50.00
1 1/2 hours
$20.00
150.0 %
2020
Roberts Park Night Game
$100.00
1 1/2 hours
New for 2023
2023
Page 12 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
%
Last
Change
Change
VMF Field: Day Game
$75.00
per game
$45.00
66.7%
2017
Night Game
$125.00
per game
$90.00
38.9%
2017
Shelter reservation Non-ElectricBI
$30.00
per day
$30.00
0.0%
2020
Electrial
$60.00
perday
$50.00
20.0%
2020
Masonic West River Stage Rental
$50.00
per rental (required to also rent West River Shelter)
New for 2023
2023
Depot building rental - 25 Adams St SE
$80.00
4 hour rental
$75.00
6.7%
2022
$15.00
per additional hour
$15.00
0.0%
2018
Depot pavilion rental - 25 Adams St SE
$50.00
per rental (required to also rent depot building)
$50.00
0.0%
Church rental - 105 2nd Ave SE
$50.00 /hr
2 hour minimum
$50.00
0.0%
2016
Bleachers
$25.00
per 3 rows
$25.00
0.0%
2019
Picnic Tables
$20.00
With three-day rental, will move tables, four table minimum
$15.00
33.3%
2016
Garden Plot
$40.00
10' x 20'
$40.00
0.0%
2022
Open Gym Daily
$3.00
per person
$3.00
0.0%
2014
Open Gym Punch Pass
$25.00
per 10 visits
$25.00
0.0%
2022
Indoor Playground: Child
$3.00
per child
$3.00
0.0%
2018
Family
$4.00
per family
$4.00
0.0%
2018
Family Playground Pass
$60.00
per year
$60.00
0.0%
2022
Civic Arena (dry floor):
First Full Day
$600.00
per day
$600.00
0.0%
2001
Half Day
$350.00
1/2 day
$350.00
0.0%
2010
Additional Day
$300.00
each additional day
$300.00
0.0%
2001
Turf
$60.00
per hour
$60.00
0.0%
2013
Y-I'th
$40.00 Air-
per--l-ieur
$40.08l4F
0-0°!
2012
Rec Center: Basketball Rental
$20.00
per court per hour
$20.00
0.0%
2013
Volleyball Rental
$20.00
for either one or two courts per hour
$20.00
0.0%
2019
Pickleball Rental
$10.00
per court per hour
$0.00
0.0%
2022
Swimming Pool
$300.00
per hour
$300.00
0.0%
2018
Gym
$600.00
per day
$500.00
20.0%
2017
Gym
$50.00
per hour
$40.00
25.0%
2013
Pool Office
$100.00
per day
$100.00
0.0%
2018
Concession Stand (without equipment)
$150.00
per day
$150.00
0.0%
2018
Concession Stand (with equipment)
$200.00
per day
$200.00
0.0%
2018
Lobby
$20.00
per hour
$20.00
0.0%
2019
Civic Arena: Ice Time
Per Contract Agreement
Hourly rate per contracted agreements with user groups
$185.00 /hr
0.0%
2023
$425-00 !hF
pep how
$425-00 A;r-
9-"°k
292-4
Roberts Park Tournament Fee
$50.00
per field per game
$50.00
0.0%
2019
Transfers
$5.00
per person per class
$5.00
0.0%
2019
Cancellations
$5.00
deducted from refund
$5.00
0.0 %
2019
***Team Fees Are Non -Refundable -
Page 13 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Last
Change
Change
Plan Review Staff noted these fees are tied to value. As values increase, so do the fees.
Plan Review is 65 % of the building permit fee
Plan Review Fee for similar plans is 25 % of Building Permit Fee (per MN Rule 1300.0160)
All other non -specified valuations to be determined by Building Official.
State Surcharge Fee:
Permits with Fixed Fees
$1.00
Surcharge for mobile home, demolition, moving, excavation,
$1.00
0.0 %
2011
residential reroof, residential reside, residential window or
door replacement, and utility sheds over 200 sq.ft.
Valuation up to $1,000,000
Mil (.0005) X
Mil (.0005) X Valuations up to $1,000,000
Mil (.0005) X
2011
Valuations
Valuations
$1,000,000 to $2,000,000
Valuation -
Valuation - $1,000,000 X .0004 + $500.00
Valuation -
2011
$1,000,000 X .0004
$1,000,000 X .0004
+ $500.00
+ $500.00
$2,000,000 to $3,000,000
Valuation -
Valuation - $2,000,000 X .0003 + $900.00
Valuation -
2011
$2,000,000 X .0003
$2,000,000 X .0003
+ $900.00
+ $900.00
$3,000,000 to $4,000,000
Valuation -
Valuation - $3,000,000 X .0002 + $1,200.00
Valuation -
2011
$3,000,000 X .0002
$3,000,000 X .0002
+ $1,200.00
+ $1,200.00
$4,000,000 to $5,000,000
Valuation -
Valuation - $4,000,000 X .0001 + $1,400.00
Valuation -
2011
$4,000,000 X .0001
$4,000,000 X .0001
+ $1,400.00
+ $1,400.00
$5,000,000 and over
Valuation -
Valuation - $5,000,000 X .00005 + $1,500.00
Valuation -
2011
$5,000,000 X .00005
$5,000,000 X .00005
+ $1,500.00
+ $1,500.00
Planning and Land Use
After the Fact
Double permit fee
Double permit fee
Annexation
$450.00
Includes annexation fee to be paid to State
$450.00
0.0 %
2011
+ $5 per acre
+ $5 per acre
Comprehensive Plan Amendment
$400.00
$350.00
14.3 %
2017
Commercial Parking Lot
$150.00
Overlay
$150.00
0.0%
2016
$300.00
Reconstruction
$300.00
0.0 %
2016
Rezoning
$450.00
Includes recording fees
$425.00
5.9 %
2017
Vacation of street, alley, or easement
$425.00
Includes recording fees
$375.00
13.3 %
2011
Lot Splits (Single and Two Family)
$275.00
Includes recording fees
$225.00
22.2 %
2017
Lot Splits (Multiple Family, Commercial, Industrial)
$350.00
Includes recording fees
$300.00
16.7 %
2017
Planned Unit Development
$700.00
Includes recording fees
$600.00
16.7 %
2017
Page 14 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Change
Last
Change
Platting: Preliminary Plat
Final Plat
$500.00
+ $10 per lot
$250.00
+ $10 per lot
Plus recording and legal fees
Plus recording and legal fees
$450.00
+ $10 per lot
$250.00
+ $10 per lot
11.1 %
0.0%
2017
2017
Residential Curb Cut, Driveway Apron, and Hard
Surfacing Driveway Permit
$60.00
$50.00
20.0 %
2011
Site Plan
$450.00
$400.00
12.5 %
2017
Special Meeting
Double permit fee
Includes $30 payment to Planning Commissioners
in attendance
Double permit fee
Trees
$300.00
Per tree
$300.00
0.0%
2012
Variances
$400.00
Includes recording fees
$350.00
14.3 %
2017
Zoning Letters Non -Flood Zoning Letters
Flood Zoning Letters
$75.00
$75.00
Per property address
Per property address
$75.00
$75.00
0.0%
0.0%
2019
2019
Conditional Use Permits
$400.00
Includes recording fees
$350.00
14.3 %
2017
Land Use Permit
$60.D0
1
$50.00
20.0 %
2011
Portable/Temporary Sign Permit
$60.00
1 Per permit, three permits per calendar year
$60.00
0.0%
2011
Sandwich Board Sign Permit
$60.00
jPeryear
$60.00
0.0%
2011
Sign Permit
$1.00 /sq.ft.
$60.00 minimum
Per square foot with a minimum fee of $60.00
$1.00 /sq.ft.
$60.00 minimum
0.0%
2011
NOTE: Application fees include public hearing publication, preparation of maps, public notice mailings, agenda preparation, meetings,
site visits, filing fees for the County, administrative expenses, etc.
Police Department
Animal License Tag (Dog/Cat)
$10.00
Cost is waived if pet is spayed, neutered or implanted with a
microchip.
$10.00
0.0%
2007
ATV / Golf Cart Licenses
$45.00
3 year license
$45.00
0.0%
2016
Bicycle Licenses
$5.00
$5.00
0.0%
2007
Dangerous Dog Designation Registration
$50.00
$50.00
0.0%
2009
Animal Impound
$50.00
$50.00
0.0%
2007
Animal Maintenance/Kennel Fee:
Initial kennel fee - first day
Dogs - kennel fee after first day
Cats - kennel fee after first day
Vaccination fee
Testing fee
$35.00
$16.00 /day
$11.00 /day
$5.00
$41.00
applies to both cats and dogs
per day following the initial kennel fee
per day following the initial kennel fee
applies to both cats and dogs
applies to cats only
$35.00
$16.00 /day
$11.00 /day
$5.00
$41.00
0.0%
0.0%
0.0%
0.0%
0.0%
2015
2015
2015
2015
2022
Audio/Video Magnetic Media
$30.00 /item
Per item
$30.00 /item
0.0%
2007
Citizen Weapon Storage
$1.00 /day
New state law allows citizens to bring personal weapons into
the Police Department for safekeeping.
$1.00 /day
0.0%
2015
Court Ordered Breath Tests
$25.00 /week
Per week
$25.00 /week
0.0%
2007
Finger Printing
$30.00
$30.00
0.0%
2022
Photographs
$2.00 /page
Per page
$2.00 /page
0.0%
2007
Police Report Copies: Walk In
Mail or Fax
$0.25 /page
$5.00
Per page
$0.25 /page
$5.00
0.0%
0.0%
2007
2007
Police Service of Papers
1 $45.00
1
1 $45.00
1 0.0 %
2015
Page 15 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Change
Last
Change
Security
$60 /hr/officer
For events with alcohol, we require at least one Hutchinson
police officer on duty until the end of the event (minimum of 4
hours). For groups of 250 or more, a second officer may be
required for the final 4 hours of the event. The fee for each
officer is $57/hr. Please refer to "Rental Policy".
$57 /hr/officer
5.3%
2018
Vehicle Impound Storage
$10.00 /day
Per day
$10.00 /day
0.0%
2007
The following are court assessed fees for violation of specific ordinances
ATV Traffic Control Regulations
$125.00
73.15
$125.00
0.0%
2012
City Parking Lots & Ramps
$25.00
72.08
$25.00
0.0%
2012
Dog at Large
$50.00
Ordinance No. 93.18
$50.00
0.0%
2012
Dog Without License
$25.00
93.18
$25.00
0.0%
2012
Drive through private property to avoid traffic control device
$85.00
71.08
$85.00
0.0%
2012
Emer ncy Parking Prohibition
$100.00
72.05
$100.00
0.0%
2012
Equipment Requirements/Muffler
$50.00
73.03
$50.00
0.0%
2012
Excessive Vehicle Noise Prohibited
$85.00
71.11
$85.00
0.0%
2012
Fail to Remove Animal Waste
$30.00
93.01
$30.00
0.0%
2012
Fire Lanes, Rush Hour Traffic
$50.00
72.13
$50.00
0.0%
2012
Loading Zone
$25.00
72.09
$25.00
0.0%
2012
Motor-home/Trailer/Rec vehicle park restriction
$25.00
72.07
$25.00
0.0%
2012
Motorized Scooters
$85.00
73.17
$85.00
0.0%
2012
No Burning Permit in Possession
$100.00
92.62
$100.00
0.0%
2012
No Parking
$25.00
Ordinance No. 7204.(b) 3
$25.00
0.0%
2012
No Parking -Bike Lane
$25.00
70.05
$25.00
0.0%
2012
No Parking -Snow Emergency
$50.00
72.15
$50.00
0.0%
2012
Nuisance Parking
$25.00
Ordinance No. 92.19
$25.00
0.0%
2012
Parallel Parkin
$25.00
72.02
$25.00
0.0%
2012
Parking for Advertising or Sale Prohibited
$50.00
72.11
$50.00
0.0%
2012
Parking/Standing/Stopping Prohibited
$25.00
72.01
$25.00
0.0%
2012
Physically Handicapped Parking
$200.00
72.12
$200.00
0.0%
2012
Possession of uncased loaded firearm
$125.00
130.05
$125.00
0.0%
2012
Residential zoning district violation
$40.00
154.056
$40.00
0.0%
2012
Traffic Congestion Street/Restriction/Exemption
$25.00
71.06
$25.00
0.0%
2012
Truck Parking Restricted
$25.00
72.06
$25.00
0.0%
2012
Use of Bike/Skateboards/Rollerskates/Like
$25.00
73.31
$25.00
0.0%
2012
U-Turns Restriction
$25.00
71.04
$25.00
0.0%
2012
Vehicle repair on street/public parking lot restriction
$85.00
72.1
$85.00
0.0%
2012
Violate Angle Parking Ordinance
$25.00
72.03
$25.00
0.0%
2012
Violate motorized golf cart ordinance
$50.00
73.16
$50.00
0.0%
2012
Violation of Time Limit Parkin
$25.00
72.04
$25.00
0.0%
2012
Water Shortages/Rest Use/Hours
$100.00
Ordinance No. 5206.
$100.00
0.0%
2012
Page 16 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
%
Last
Change
Change
Public Works
Engineering:
• Design Review
3.00%
Review of site and grading plans and/or plans and
3.0091.
0.0%
2002
specifications prepared by developer, or preliminary
engineering of reconstruction plans.
Final Design
6.00%
Preparation of project plans and specifications in-house.
6.00%
0.0%
2002
Construction Review and Staking
6.00%
Includes on -site and off -site construction services. Private
6.00%
0.0%
2002
developers must provide survey control and may complete
this work with a consultant approved by the City and pay
these costs directly.
• Preliminary Development
1.00%
Plan review, City approval process, and preparation of
1.00%
0.0%
2002
developer, subdivision and/or development agreements.
Contact Administration
2.00%
Assessment roll preparation, MN Statute 429 review, and
2.00%
0.0%
2002
contract administration and review.
• Comprehensive Planning
2.00%
Comprehensive/infrastructure/system planning and
2.00%
0.0%
2014
improvement project studies/reports.
Topographic Mapping
1.00%
GIS system and topographic mapping administration.
1.00%
0.0%
2014
• Housing needs fund
1.00%
Funding for HRA program supporting housing needs within
1.00%
0.0%
2002
the community. The HRA Board may waive this fee on
projects meeting HRA Housing goals. Not applied to
reconstruction or trunk utility improvements.
Standard City Rate:
RedevelopmentfNewly Annexed
21.00%
Redevelopment and newly annexed (does not include
21.00916
0.0%
2014
"Housing Needs Fund")
New Development
22.00%
New development (includes "Housing Needs Fund"). The
22.00%
0.0%
2014
City retains the right to approve which projects will be
completed utilizing municipal financing based on guidelines
approved by the City Council.
Developer Designed & Financed Rate
7.00%
Minimum rate, including all items noted with asterisk (•).
7.00 %
0.0%
2014
Private development projects utilizing more City services will
be charged based on rates noted above.
Hutchinson HRA may waive the 1 % Housing Needs Fund fee
based on low-income housing being included in the project.
Engineering: Plans & Specs (paper)
$80.00
1Per set fee
$80.00
0.0%
2002
Engineering: Plans & Specs (download set)
1 $30.00
1 Per set fee
1 $30.00
1 0.0%1
2019
The City retains the right to engage a consultant to complete a portion of the Engineering and project Administration. The developer shall have the preliminary and final
plat approved prior to work commencing on final design. Financial assurance or bonding maybe required for improvement being completed by private developers.
The developer shall meet all design standards and financial surety requirements of the City.
Page 17 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
%
Change
Last
Change
Typical Residential Improvement Assessment Rates:
Total street reconstruction (curb, storm, water & sewer)
$90.00
Per adjusted front foot
$80.00
12.5%
2010
Partial street reconstruction (curb, storm, water or sewer)
$81.50
Per adjusted front foot
New for 2023
0.0%
2023
Partial street reconstruction (curb and storm sewer)
$73.00
Per adjusted front foot
$65.00
12.3%
2013
Street rehabilitation (up to 15 % curb replacement, no utlities)
$59.00
Per adjusted front foot
$52.50
12.4%
2013
Mill/overlay of street (minor curb repairs, street surface only)
$33.75
Per adjusted front foot
$30.00
12.5%
2010
Water service lateral
$3,375.00
or based on actual construction costs
$3,000.00
12.5%
2010
Sewer service lateral
$3,375.00
or based on actual construction costs
$3,000.00
12.5%
2010
SAC (Sewer Availability Charge)
$2,300.00
Residential per MCES criteria & Commercial/Industrial per
MCES with initial unit + 50% of additional units
$2,300.00
0.0%
2011
WAC (Water Availability Charge)
$1,750.00
Residential per MCES criteria & Commercial/Industrial per
MCES with initial unit + 50% of additional units
$1,750.00
0.0%
2011
Assessment Search
$30.00
$30.00
1 o.0%
2011
Water Rates:
Water Base Rate - Residential
Single family - 1.0 Residential Equivalent Unit
$9.00
1per single-family residence
1 $7.351
22.4%
2011
Multi -family - 0.65 Residential Equivalent Unit
$9.00
1per REU's (units x rate x 0.65)
1 $7.351
0.0%
2023
Water Usage Rate - Residential
0 - 6,000 gallons/month
$3.00
x consumption
1 $4.34
-30.9%1
2011
6,000 - 12,000 gallons/month
1 $3.75
Ix consumption
1 $4.34
-13.6%1
2023
> 12,000 gallons/month
$4.69
Ix consumption
$4.341
8.1%1
2023
Water Base Rate - Commercial/Industrial
3/4" meter
$9.00
per month
$7.35
22.4%
2011
1" meter
$22.50
per month
$7.35
206.1 %
2023
1.5" meter
$45.00
per month
$7.35
512.2%
2023
2" meter
$72.00
per month
$7.35
879.6%
2023
3" meter
$144.00
per month
$7.35
1,859.2%
2023
4" meter
$225.00
per month
$7.35
2,961.2%
2023
6" meter
$450.00
per month
$7.35
6,022.4 %
2023
Water Usage Rate - Commercialllndustrial
1,000 gallons/month $3.00 Ix consumption I Variablel 0.0%1 2011
Irrigation Water (May 1 - September 30)
Annual fee
$25.00
1,000 gallons/month
$4.69
Ix consumption of irrigation deduct meter
$4.341
8.1%1
2011
Water Meter Fees:
3/4" X 5/8"
$349.80
Connections and flanges included
$318.00
10.0%
2021
1"
$444.40
` meter pricing includes water meter transmitter
$404.00
10.0%
2021
1.5" Compound
$1,710.50
$1,555.00
10.0%
2020
1.5" Turbo
$1,269.40
$1,154.00
10.0%
2020
2" Compound
$1,971.20
Water department staffwill approve/disapprove or
require application of turbo or compound meters.
$1,792.00
10.0%
2020
2" Turbo
$1,472.90
$1,339.00
10.0%
2020
3" Compound
$2,447.50
$2,225.00
10.0%
2020
3" Turbo
$1,807E30
$1,643.00
10.0%
2020
4"Compound
$4,078.80
$3,708.00
1 10.0%1
2020
Page 18 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Change
Last
Change
4"Turbo
$3,296.70
1
Water department staff will approve/disapprove or
require application of turbo or compound meters.
$2,997.00
10.0%
2020
6" Compound
$6,902.50
$6,275.00
10.0%
2020
6" Turbo
$5,637.50
$5,125.00
10.0%
2020
Water meter testing fee
$55.00
Plus all direct costs for testing by others
$50.00
10.0%
2012
Water meter transmitter
$165.00
As needed, determined by the Water Dept.
$150.00
10.0%
2020
Other Water Fees
Delinquent Account Penalties
5.0%
Assessed to outstanding balance
5.0%
0.0%
2011
Water Service Repair
$0.50
Per water meter per month
$0.50
0.0%
2011
State Drinking Water Service Connection Fee
$0.81
Per water meter per month - State required fee
$0.81
0.0%
2020
Bulk Water Deposit
$45.00
Deposit for key rental
$45.00
0.0%
2011
Key rental fee (Month or partial month)
$45.00
Month or partial month
$45.00
0.0%
2011
Lost key
$585.00
$585.00
0.0%
2011
Setup fee
$25.00
Set up fee for putting a metered valve onto a hydrant for bulk
water loading / use
$25.00
0.0%
2016
Per load
$20.00
South Park loaded by City staff
$20.00
0.0%
2011
Per load
$20.00
2 load/day, hydrant fills
$20.00
0.0%
2011
Load Charge
$8.00
per 1,000 gallon (rounded to nearest 1,000 ga.)
$20 minimum
$8.00
0.0%
2015
Disconnect/Reconnect water service
Scheduled - (Snowbirds, Foreclosures, etc)
Delinquent Accounts
Reconnect after-hours/weekends/holiday
$30.00
$40.00
$100.00
$30 for disconnect, $30 for reconnect
$40 for disconnect, $40 for reconnect
The $40 disconnect fee applies to all accounts that do not
pay by noon on the disconnect due date unless a payment
arrangement is granted by the City prior to the noon.
:630.00
$40.00
$100.00
0.0%
0.0%
0.0%1
2011
2011
2011
Wastewater Rates:
Wastwater Base Rate - Residential
Single family - 1.0 Residential Equivalent Unit
$10.00
per single-family residence
$6.411
56.0%1
2011
Multi -family - 0.65 Residential Equivalent Unit
$10.00
1per REU's (units x rate x 0.65)
$6.411
56.0%1
2011
Wastwater Usage Rate - Residential
1,000 gallons/month $6.42 Ix consumption 1 $6.421 0.0% 2011
Wastewater Base Rate - Commercial/Industrial
3/4" meter
$10.00
per month
$6.41
56.0%
2011
1" meter
$25.00
per month
$6.41
290.0%
2023
1.5" meter
$50.00
per month
$6.41
680.0%
2023
2"meter
$80.00
per month
$6.41
1,148.0%
2023
3" meter
$160.00
per month
$6.41
2,396.1 %
2023
4" meter
$250.00
per month
$6.41
3,800.2%
2023
6" meter
$500.00
per month
$6.41
7,700.3%
2023
Wastwater use rate - commercial/industrial
1,000 gallons/month $6.42 Ix consumption 1 $6.421 0.0% 2011
Page 19 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Change
Last
Change
Wastwater load charges rate - commercial/industrial
Load charges: Biochemical Oxygen Demand (BOD)
Total Suspended Solids (TSS)
Phosphorous (P)
Total Kjedahl Nitrogen (TKN)
$0.65
$0.31
$10.43
$0.92
per pound
per pound
per pound
per pound
$0.43
$0.40
$5.82
$1.16
51.2 %
-22.5 %
79.2 %
-20.7 %
2010
2010
2010
2010
Industrial Pretreatment Program Fees: (willbemevaluateduponreceiptof NaoEspermitrenewa1)
New permit application fee
Sewer users < 25,000 gals/day & Haulers
Sewer users > 25,000 gals/day
$100.00
$400.00
Permit application fee
Permit application fee
$100.00
$400.00
0.0%
0.0%
2006
2006
Annual Permit Fee Haulers
Sewer Users < 25,000 gals/day
Sewer Users 25,000 to 100,000 gals;day
Sewer Users > 100,000 gals/day
Annual site inspection fee
$100.00
$700.00
$1,400.00
$2,100.00
$100.00
per year
per year
per year
per year
$100.00
$700.00
$1,400.00
$2,100.00
$100.00
0.0%
0.0%
0.0%
0.0%
0.0%
2006
2006
2006
2006
2006
Sampling and Lab costs
at Cost
at Cost
2006
State and Legal Costs
at Cost
at Cost
2006
Limits Exceedance Fees
$1,000.00
per pollutant per sampling period, per MPCA
New for 2023
0.0%
2023
Administrative Violation Fees
$150.00
per violation
$150.00
0.0%
2006
Hauling Waste Fees
Portable Toilets Waste
Truck tipping fee
$6.00
per 100 gallons
$6.00
0.0%
2006
Municipal WWTP Sludge
Truck tipping fee
Sludge volume fee
$50.00
$325.00
per truck load
per dry ton
$50.00
$325.00
0.0%
0.0%
2006
2006
Telecommunications Application Fee:
Telecommunication permit application
$775.00
$775.00
0.0%
2012
Lease rates
Negotiated
Negotiated
Right -of -Way Permit Fees:
Excavation (<5,000 SF)
$35.00
$35.00
0.0%
2012
Excavation (>5,000 SF to <1 acre)
$100.00
$100.00
0.0%
2020
Excavation (1-5 acres)
$200.00
$200.00
0.0%
2020
Excavation (>5 acres)
$300.00
$300.00
0.0%
2020
City utility/drainage connection excavation
$35.00
$35.00
0.0%
2020
Linear project (per 1,000 LF)
$50.00
$50.00
0.0%
2020
Obstruction
$50.00
$50.00
0.0%
2020
Small wireless facility (up to 5)
$500.00
$500.00
0.0 %
2020
Page 20 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
%
Last
Change
Change
Garbage Rates:
Weekly service 30-gallon container
$20.12
per month charge
$20.12
0.0 %
2008
60-gallon container
$29.02
per month charge
$29.02
0.0 %
2008
90-gallon container
$39.92
per month charge
$39.92
0.0 %
2008
Bi-weekly service 30-gallon container
$14.16
per month charge (60 & 90 gallon containers not available)
$14.16
0.0 %
2008
Weekly valet service 30-gallon container
$28.46
per month charge
$28.46
0.0 %
2008
60-gallon container
$37.36
per month charge
$37.36
0.0 %
2008
90-gallon container
$48.26
per month charge
$48.26
0.0 %
2008
Senior Citizens/Low Income Rate
Bi-weekly standard service
$14.16
30-gallon container, per month charge
$14.16
0.0 %
2008
Bi-weekly valet service (low income)
$19.79
30-gallon container, per month charge
$19.79
0.0 %
2008
Senior citizen reduced rate (low income)
$2.50
per month charge
$2.50
0.0 %
2008
Senior citizen reduced valet
$10.84
per month charge
$10.84
0.0 %
2008
Senior citizen reduced bi-weekly valet
$6.67
per month charge
$6.67
0.0 %
2008
Cart delivery fee
$10.00
$10.00
0.0%
2007
Stickers for extra garbage bag service
$2.00
istickers available at City Center Administration window
$2.00
0.0 %
2007
Compost Carts First 95 gallon cart
$0.00
free service
$0.00
0.0 %
2007
Second 95 gallon cart (optional)
$100.00
annual billing - not to be prorated if cancelled within year
$100.00
0.0 %
2016
Storm Water Utility:
Golf Course, Park, Open Space
$6.47
$6.28
3.0 %
2022
Single & Two -Family Residential
$5.00
$4.85
3.1 %
2022
Public/Private School & Institutional
$25.11
$24.38
3.0 %
2022
Multi -Family Residential & Church
$35.70
$34.66
3.0 %
2022
Commercial & Industrial
$63.87
$62.01
3.0 %
2022
Lots 1 to 2 acres
$8.65
$8.39
3.1 %
2022
Lots 2 to 3 acres
$15.08
$14.64
3.0 %
2022
Lots 3 to 4 acres
$21.50
$20.88
3.0 %
2022
Lots 4 to 5 acres
$27.95
$27.14
3.0 %
2022
Lots over 5 acres
See Resolution No. 11637
Drainage/Erosion Control permit
$40.00
Drainage connection
$35.00
14.3 %
2012
$40.00
< 5,000 SF disturbed
$35.00
14.3 %
2012
$115.00
5,000SF- 1 acre disturbed
$100.00
15.0%
2012
$225.00
1 to 5 acres disturbed
$200.00
12.5 %
2012
$340.00
More than 5 acres disturbed
$300.00
13.3 %
2012
Page 21 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
%
Last
Change
Change
Cemetery:
Flush marker Grave space
$825.00
$825.00
0.0%
2021
Cremation grave space
$460.00
$460.00
0.0%
2022
Upright memorial Grave space
$1,080.00
$1,080.00
0.0%
2021
Cremation grave space
$1,100.00
$1,100.00
0.0%
2022
Second right of interment
$450.00
$450.00
0.0%
2021
Baby section grave space
$145.00
$145.00
0.0%
2021
Columbanum Niches
$1,800.00
all niches
$1,800.00
0.0%
2020
Replacement Bronze Plaque
$395.00
$395.00
0.0%
2021
Family Estate Property
$20,000.00
beginning at $20,000
$20,000.00
0.0%
2021
Interments Weekday
$825.00
Non -Winter
$825.00
0.0%
2021
Weekday
$970.00
Winter
$970.00
0.0%
2021
Weekday Baby
$315.00
Non -Winter
$315.00
0.0%
2021
Weekday Baby
$630.00
Winter
$630.00
0.0%
2021
Weekday cremation in -ground inumment
$435.00
Non -Winter
$435.00
0.0%
2021
Weekday cremation in -ground inumment
$560.00
Winter
$560.00
0.0%
2021
Weekend/Holiday
$1,080.00
Non -Winter
$1,080.00
0.0%
2021
Weekend/Holiday
$1,195.00
Winter
$1,195.00
0.0%
2021
Weekend/Baby
$565.00
Non -Winter
$565.00
0.0%
2021
Weekend/Baby
$680.00
Winter
$680.00
0.0%
2021
Weekend cremation in -ground inumment
$685.00
Non -Winter
$685.00
0.0%
2021
Weekend cremation in -ground inurnment
$805.00
Winter
$805.00
0.0%
2021
Inurnments Weekday
$390.00
Non -Winter
$390.00
0.0%
2021
(Columbaria) Weekday
$510.00
Winter
$510.00
0.0%
2021
Weekend/Holiday
$630.00
Non -Winter
$630.00
0.0%
2021
Weekend/holiday
$735.00
Winter
$735.00
0.0%
2021
Disinterment
$1,725.00
Disinterment
$1,725.00
0.0%
2021
Vaulted cremains (additional charge)
$250.00
$250.00
0.0%
2021
Companion urn
$240.00
$240.00
0.0%
2019
Pot stands Upright
$40.00
$40.00
0.0%
2022
Saddle mount
$25.00
$25.00
0.0%
2022
Late charges
$225.00
funerals arrive after 4pm
$225.00
0.0%
2021
$60.00
funerals arrive more than 30 minutes late
60.00
0.0%
2021
$100.00
funerals arrive more than 60 minutes late
100.00
0.0%
2021
Holding vault fee
$140.00
fee
$140.00
0.0%
2021
Recording fee (not interred at Oakland Cemetery)
$85.00
permanent record
$85.00
0.0%
2021
Stone setting permit
$85.00
permit
$85.00
0.0%
2021
Stone washing
$50.00
1per hour, 1/2 hour minimum
$50.00
0.0%
019
Cemetery deed transfer
$15.00
Rate set by Statute
$15.00
0.0%Chapel
J008]
rental
$285.00
Per 1/2 day
$285.00
0.0%021
Page 22 of 23
City of Hutchinson
2023 Fee Schedule
Fee Type
2023 Fees
Notes
2022 Fees
Last
Change
Change
Commemorative Bench Program
Single bronze plaque
$575.00
$575.00
0.0%
2021
Double bronze plaque
$795.00
$795.00
0.0%
2021
Engraved name/date per space
$285.00
$285.00
0.0%
2021
No memorial on bench, placed by Cemetery
$2,625.00
Prices starting at
$2,625.00
0.0%
2021
Recording fee
$85.00
$85.00
0.0%
2021
Affidavit of Ownership
$85.00
Claim of ownership by decent of title
$85.00
0.0%
2021
Airport:
City -owned hangars: Hangars #1/9-1/18
$50.00
Per month. Airport Commission schedule
$50.00
0.0%
2020
Hangars #1/19
$270.00
Per month. Airport Commission schedule
$270.00
0.0%
2022
Hangars #2/1-2/8
$90.00
Per month. Airport Commission schedule
$90.00
0.0%
2020
Hangars #3/2-3/4, 3/6-3/8
$125.00
Per month. Airport Commission schedule
$125.00
0.0%
2020
Hangars #3/1 & 3/5
$300.00
Per month. Airport Commission schedule
$300.00
0.0%
2022
Hangars #4/1-4/8
$120.00
Per month. Airport Commission schedule
$120.00
0.0%
2020
Hangars #5/1-5/8
$190.00
Per month. Airport Commission schedule
$190.00
0.0%
2020
City -owned storage spaces - Hangar #4
$47.50
Per month. Adjusted to $1.00/SF annual cost
$47.50
0.0%
2020
City -owned storage spaces - Hangar #5
$56.25
Per month. Adjusted to $1.00/SF annual cost
$56.25
0.0%
2020
Privately -owned hangar spaces:
General Aviation
$0.0412
per sq. ft. every other year
$0.04 I t,
0.5%
2022
Commercial
$0.1390
per sq. ft. every other year
$0.1380
0.7 %
2022
Operations & Maintenance:
Labor rate - operator/laborer
$60.00 /hr
Add $20/hr for premium/overtime pay
$60.00 /hr
0.0%
2021
Labor rate - PT/S operator/laborer
$50.00 /hr
per hour. Add $20/hr for premium/overtime pay
New for 2023
0.0%
2023
Labor rate - supervisor
$75.00 /hr
Add $20/hr for premium/overtime pay
75.00
0.0%
2021
Administrative fee
$50.00
$50.00
0.0%
2010
Mailbox reimbursement
$300.00
For damaged mailbox not repaired by City staff
$285.00
5.3%
2021
Asphalt patching material
$375.00 /ton
Per ton (up to 3 ton)
$350.00 /ton
7.1 %
2021
Other materials
Quoted
Quoted
Equipmeht rental rates
See most recent FEMA reimbursement rates + 20
+ Operator cost + Fuel surcharge
Page 23 of 23
FR
Fs HUTCHINSON CITY COUNCIL
HUTCHINSOK Request for Board Action
A CITY ON PURPOSE.
Proposed water and wastewater service repair policy
Agenda Item:
Department: PW/Eng
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff ❑�
New Business
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
At the last City Council meeting, Public Works provided information regarding a proposed polirl y
relating to the repair of water and wastewater services from the main to the building served.
Public Works staff recommended expanding of our current policy to include repair/replacement
of water and wastewater services from the main up to approx. 4 feet from the building (all work
on private property would require a written agreement).
The recommendation is to adopt the policy and include a $2 per month charge ($1 for water, $1
for wastewater) in the City's fee schedule. This amount would provide maximum coverage of
$8,500 per incident, anticipating approximately 14 incidents per year.
BOARD ACTION REQUESTED:
Consideration of policies for water and wastewater service repairs (Acct. Policy & Repair Polio-:- ;
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost: $ 122,400.00
Total City Cost: $ 122,400.00 Funding Source: Water/Wastewater customer fee of $2/month
Remaining Cost: $ 0.00 Funding Source: N/A
HUTCHINSON
PUBLIC WORKS AND ENGINEERING
December 27, 2022
City of Hutchinson
Public Works Department
Operations & Maintenance
1400 Adams St SE
Hutchinson, MN 55350
Phone (320) 234-4219 Fax (320) 234-6971
To: Honorable Mayor and City Council members
CC: Matt Jaunich, City Administrator
Andy Reid, Finance Director
From: John Olson, interim Public Works Director
Subject: Water and wastewater service repairs
At the December 13 meeting, Public Works presented information about the City Code
language related to water and wastewater service repairs. A summary of the policy instituted
in 2010, whereby the City initiates repairs to water services between the water main and the
curb stop (or stand pipe valve), was also presented.
This existing program has been successful. Customers like it because they get help.
Contractors like it because they get paid by City and don't have to collect from individual
customers. Public Works staff like it because restoration work can be more easily, particularly
when sidewalks, curb & gutter and pavement are disturbed during repairs.
A review of available coverage from private companies was presented. The recommendation
was that the City of Hutchinson could offer coverage similar to that provided by private
companies for $2 per month for 5,100 customers, which would generate $122,400 per year,
divided by $8,500 equates to full coverage for 14 repairs per year.
Public Works staff recommends adopting the following Account Policy and Repair Policy.
Attached is a proforma agreement that must be signed by the property owner before any work
is done on private property. We believe it is in the best interest of the City to adopt these
policies for the same reasons as those identified earlier: customers like it, contractors like it and
Public Works staff like it.
u
__
HUTCHINSON
A CITY ON PURPOSE.
Water and Wastewater Service Repair Account Policy (Policy)
December 27, 2022
Purpose
The City of Hutchinson (City) hereby establishes the Water and Wastewater Service Repair Account
(Account).
This Policy intends to define use of Account funds in a manner that supports the City's mission,
programs and ongoing operations.
The Account provides a funding source for a variety of activities related to maintenance, repair and/or
replacement of water and sewer services.
Utilization of the Account outlined in this Policy is subject to other strategic, operational, governance
and financial policies of the City.
Water and Wastewater Service Repair Account
The Account provides a source of funding for maintenance, repair and/or replacement of water and
sewer services that are privately owned, that are not a part of City -owned infrastructure and that are
not included in water and wastewater maintenance budgets.
At the City Council's discretion, the Account may supplement other City funds in situations where there
is a sudden increase in expenses, one-time unbudgeted expenses, unanticipated loss of funding or
uninsured loss.
The City Council establishes, maintains or eliminates the Account. The Account consists of a designated
account within the City's Water Fund. The City Council approves Account funding sources when
adopting the City's annual budget and fee schedule.
Use of funds is intended to take place within reasonably short time periods. Expenditures may not
exceed the beginning balance plus the revenues in any given year. Excess funds carry over from year to
year and uncommitted amounts carried over may be spent on other water and wastewater expenses, as
recommended by the Public Works Director and approved by the City Administrator.
Accounting
The Public Works department identifies and reviews service maintenance, repair and/or replacement
projects. Projects are presented to the Public Works Director for approval. The Public Works
department prepares, manages and delivers approved projects.
The Finance department assigns funds into the Account in accordance with the approved annual budget.
The Finance department and Public Works department report expenditures to the City Administrator.
The Finance department provides an annual reconciliation of funding sources and project expenditures
at the end of each calendar year.
Account Funding Sources
The Account receives funds from related fees included in water and wastewater utility billings.
Revenues may be allocated from other sources identified in the City's annual budget.
The City Council may from time to time direct that a specific source of revenue be set aside in the
Account. Examples could include one-time revenues, grant revenues or other surplus funds.
Use of Account Funds
The Public Works Director identifies maintenance, repair and/or replacement projects. Use of Account
resources typically includes work not accounted for in water and wastewater maintenance budgets
because they affect only privately -owned services including, but not limited to:
a. Water services. Necessary maintenance, repair and/or replacement projects from the water
main to approximately four feet (4') from the building foundation, including installation, repair
and/or replacement of water services, curb stops and other necessary repairs or replacements
of service pipes and equipment. Water services containing lead and/or constructed of
galvanized service pipes requiring replacement will be replaced.
b. Wastewater services. Necessary maintenance, repair and/or replacement projects from the
sewer main to approximately four feet (4') from the building foundation, including installation,
repair and/or replacement of sewer services, cleanouts and other necessary repairs or
replacements of service pipes and equipment.
Authority to use Account.
The Public Works department shall report projects to the Finance department. Projects shall identify
location and nature of maintenance, repair and/or replacement of service pipes, the current available
balance, budgeted transfers into the Account for the year, estimate of project costs and the anticipated
ending balance in the Account.
Expenditures of funds shall be in accordance with the City's finance policies.
Based on available funds, actual costs incurred or because of unforeseen circumstances, the Public
Works department may modify project requests. The Public Works department shall report
modifications to the Finance department as soon as practicable after they are known.
Reporting and monitoring.
The Public Works department and Finance department coordinate oversight of the Account to ensure its
use complies with this Policy and the Water and Wastewater Service Repair policy. The Public Works
Director receives periodic reports of activity in the Account. Based upon information provided by the
Public Works department, the Finance department prepares billings to property owners for expenses
exceeding the maximum coverage. The Finance Department provides an annual reconciliation report,
made available with other year-end reports.
Review of Policy
The City Administrator, Finance Director and Public Works Director shall review this Policy from time to
time. The Policy shall be reviewed as warranted by internal or external changes or events, but at least
once every three years. Recommended changes shall be presented for adoption by the City Council.
Water and Wastewater Service Repairs Policy
City of Hutchinson
Public Works
December 27, 2022
Repair of Leaks and Equipment
City Code clearly indicates that it is the responsibility of the consumer or owner to maintain the
service pipe and related equipment from the main into the house or other building.
City Code (WATER) § 52.02 REPAIR OF LEAKS AND EQUIPMENT.
It is the responsibility of the consumer or owner to maintain the service pipe from the main into
the house or other building, including, but not limited to, the stand pipe or curb stop and all
equipment associated with the service line, stand pipe or curb stop. In case of failure upon the
part of any consumer or owner to repair any leak or any service line, stand pipe or curb stop,
within 24 hours after oral or written notice has been given the owner or occupant of the
premises, the water may be shut off and will not be turned on until a reconnection charge has
been paid and the water service has been repaired. When the waste of water is great or when
damage is likely to result from the leak, the water will be turned off if the repair is not
proceeded with immediately. Following notice as provided by this chapter, at the sole option
of the city, the city may repair the leak and the service pipe, stand pipe or curb stop and all
equipment associated with the service line, stand pipe or curb stop and assess the cost for the
repair against the property benefitted. The costs to be so assessed may include, but are not
limited to, material, labor and professional fees and expenses incurred in the repair.
City Code (WASTEWATER) § 53.023 SEWER LINE; OWNER RESPONSIBILITY.
The property owner shall be responsible for the sewer line from the building to the main sewer
line.
Service Policy for Water and Wastewater Service Repairs
The services described herein are provided at the City's discretion and do not relieve property
owners of their responsibilities under City Code provisions. The City Council retains the right to
suspend activity under this policy at any time and for any reason.
It shall be the City's policy to repair water and wastewater services. Repairs to services will be
funded by monthly fees paid by customers. The City will cover service repair costs up to a
maximum limit identified in the City's fee schedule. Fees for service repairs and coverage cost
limits may be amended from time to time.
Property owners shall be responsible for costs to repair water and wastewater services that
exceed the maximum limit identified in the City's fee schedule. These charges shall be
considered a current service charge and may be assessed to properties if any balance remains.
Water and Wastewater Service Repair Provisions
General
Property owners shall retain the right and responsibility to make repairs to their services. For
repairs initiated by property owners, the City will consider covering expenses incurred by
property owners, to the limit indicated in the City's fee schedule, provided the City is notified of
the repairs and given the opportunity to certify the work prior to restoring service.
The customer must enter into a separate agreement with the City prior to the City conducting
repairs for service lines located on private property. This agreement shall identify the rights
and responsibilities of both the property owner and the City.
In any case, the City reserves the right to initiate service repairs if the service leak is causing or
is likely to cause property damage or if the service leak presents any other life -health -safety
hazard.
Water services are defined as the pipe, fixtures and equipment between the water main and
the foundation of the building, defined as to within approximately four feet (4') of the outside
wall of the foundation.
Wastewater services are defined as the pipe, fixtures and equipment between the sewer main
and the foundation of the building, defined as to within approximately four feet (4') of the
outside wall of the foundation.
Water service to the property may be turned off until repairs to service lines are certified by the
City.
Water
In all cases, water service lines containing lead or galvanized water service lines in need of
replacement will be disconnected and replaced with a new private water service line to
establish a non -lead service line from the water main to the building foundation.
Customers may notify the City or be notified by the City of a service leak. Notice will be given
first by attempting verbal notification, then by information delivered to the property and finally
by letter.
The City will attempt to stop the leak by closing the stand pipe valve or curb stop.
• If the service leak can be stopped by closing the valve at the stand pipe or curb stop,
the customer must repair or enter into a separate agreement with the City to have the
City repair any leak in the service line between the building and the valve at the stand
pipe or curb stop.
• If the service leak cannot be stopped by closing the valve at the stand pipe or curb
stop, the City will initiate repair of the service; however, the City will not extend
repairs onto private property without a separate agreement with the property owner.
During repairs for water services completed by the City or under contract by the City, proper
operations of a service stand pipe valve or curb stop will be verified. This may include installing,
repairing or replacing the service stand pipe valve or curb stop.
Wastewater
Customers may notify the City or be notified by the City of a service issue. Notice will be given
first by attempting verbal notification, then by information delivered to the property and finally
by letter.
In most cases, the City will utilize closed circuit television equipment to verify the condition of
the wastewater service pipes between the sewer main and the cleanout (if available).
• If the service issue can be addressed by verifying the condition of the pipe between
the sewer main and the cleanout, the City will initiate operations to reinstate the
function of the service or make necessary repairs to the service; however, the City will
not extend repairs onto private property without a separate agreement with the
property owner.
• If the service issue cannot be addressed by verifying the condition of the pipe between
the sewer main and the cleanout or if a cleanout is not present, the customer must
repair the service line or enter into a separate agreement with the City to repair the
service line between the sewer main to the building foundation, to include installation
of a sewer cleanout.
During repairs for wastewater services completed by the City, proper operations of a cleanout
will be verified. This may include installing, repairing or replacing the cleanout.
WATER & WASTEWATER SERVICE REPAIR AGREEMENT
01[JI6Lyq
The purpose of this Agreement is to set forth the terms and conditions pursuant to the City of
Hutchinson's Water and Wastewater Service Repair Policy, in which the City of Hutchinson (the
"City") will repair private water and/or wastewater service line(s) of the undersigned customer.
Property address:
City I D:
Q Water service
Customer name:
Property owner name:
Q Sewer service
This Agreement anticipates the City will perform work or award a contract for the work to be
performed under this Agreement.
CONSIDERATION
Each party agrees that the promises made by the other party and the benefits to be derived
from their execution are full and sufficient consideration for entering into this Agreement.
THE CITY WILL
1. Conduct an inspection of the service line between the main and the building foundation
(approximately four feet from the outside of the building's foundation wall).
2. Maintain, repair or replace services, as necessary. Cover costs up to the maximum limit
identified in the City's fee schedule.
3. Verify operation of stand pipe valves, curb stops and/or sewer cleanouts. These will be
installed, maintained, repaired or replaced, as necessary. The costs for installation,
maintenance, repair or replacement of these shall be included in total service repair
costs.
4. Disconnect and cap abandoned private service lines at the main, as necessary. Remove
abandoned service lines from public property. Leave abandoned service lines on private
property. The property owner may coordinate with the City to fully pay direct costs
associated with removal of abandoned service lines on private property.
5. Restore areas of turf disturbed by such work, to include grading, fertilizing and seeding
of turf areas on the property up to the building. Restoration does not include exterior
landscaping, other than turf. The City does not warranty turf restoration.
Restoration does not include any work on any building. Restoration does not include
plumbing fixtures or plumbing work necessary past four feet (4') from the outside wall
of the building foundation.
6. Do the work or ensure that any contractors doing the work provide adequate insurance
to protect the City and property owner against any loss that may result from damage
caused by negligent operations on the customer's property. The City shall require that
contractors provide the City with a certificate of insurance identifying such coverage.
7. Guarantee that any work done shall be free from defects in material and workmanship
for a period of one year from its completion, excluding restoration as described herein.
THE OWNER WILL
1. Warrant and represent that he/she/they are either the owner of the property or certify
to the City's satisfaction that they have been given the legal right to occupy the property
and represent the owner in this Agreement. If the customer is not also the property
owner, the customer shall identify the owner of the property in this agreement and the
property owner shall also be required to execute this Agreement, along with the
customer, prior to work commencing.
2. Permit temporary access and right of entry to and upon the above -referenced property
to the City and the City's designated contractor(s).
3. Provide access to the above -referenced property and not interfere with necessary
inspections, repairs, construction and testing of service lines until the guarantee period
of one year expires.
4. Provide clear, unobstructed access to the area where service lines enter the building
foundation, to include removal of outdoor structures, landscaping features or other
impediments to performing work up to within four feet (4') from the building
foundation.
5. Assume full responsibility for any necessary maintenance, repair or replacement of the
water or sewer system past the point of repair at the building foundation.
6. Provide necessary watering and care to the seeding installed during restoration of turf
areas. Turf restoration is not warranted by the City. Subsequent turf restoration and
restoration of landscaping features is the property owner's responsibility.
7. Hold the City, its employees and agents and the City's designated Contractor(s) harmless
and free from any claim or liability for damage done in performance of the service line
repair work.
OTHER
The venue for causes of action shall be McLeod County, State of Minnesota.
The responsibility to repair, maintain or replace service lines pursuant to existing City of
Hutchinson Water and Wastewater system rules, regulations and policies.
Signed by the Owner(s) this day of 20
Customer — Signature
Customer— Print Name
Owner Signature
Owner - Print Name
Land Contract Holder(s) — Signature
Land Contract Holder(s) — Print Name
Signed by the City this day of
Public Works Director
or Designee —Signature
Print Name/Title
U81
Water Service Responsibilities
In any case, the City reserves
the right to initiate repairs at
the customer's expense if the
service leak is causing potential
property damage or presents a
Water Main Property Line life -health -safety hazard
f
Curb Stop Customer Service Line Internal Plumbinq
If a service leak can be stopped by closing the curb stop, the customer has the choice of having the City repair the
service up to a reasonable distance outside the foundation wall of the structure or they may perform the repair
on their own. Water may be turned off until repairs to the service line are certified by the City.
If a service leak cannot be stopped by closing the curb stop, the City will initiate repair of the service. If the repair
extends onto private property, the customer has the choice of having the City repair the service up to a
reasonable distance outside the foundation wall of the structure or to perform the repair on their own. The City
will not conduct work on private property without an agreement with the property owner.
The City provides this service at its discretion, beyond requirements in the City Code and may impose a reasonable
fee for such service. Costs of $0 - $8,500 will be covered 100% by the City, including work on private property if an
agreement is in place. Costs over $8,500 will be the customer's responsibility.
Wastewater Service Responsibilities In any case, the City reserves
the right to initiate repairs at
If a service leak occurs, the customer has the choice of having the City repair the service up to a
reasonable distance outside the foundation wall of the structure or they may perform the repair on their
own. Water will be turned on until repairs to the service line are certified by the City.
The City will not conduct work on private property without an agreement with the property owner.
The City provides this service at its discretion, beyond requirements in the City Code and may impose a
reasonable fee for such service. Costs of $0 - $8,500 will be covered 100% by the City, including work on
private property if an agreement is in place. Costs over $8,500 will be the customer's responsibility.
FR
Fs HUTCHINSON CITY COUNCIL
- Request for Board Action
A CITY ON PURPOSE.
Amendment of City Code Chapter 53.111 - Deduct Meters (First Reading)
Agenda Item:
Department: PW/Eng
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete NIA
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
Public Works requests consideration of amending Chapter 53.111 of the City Code, which
addresses deduct meters, to make language compatible with the proposed water & wasteater
utility rates proposed for implementation in 2023.
A copy of the existing ordinance, with green -line additions and red -line deletions is attached. A
clean copy of the proposed amendment is also provided.
Public Works personnel will be available to answer any questions you may have.
Second reading and adoption is scheduled for January 10, 2023.
BOARD ACTION REQUESTED:
Consider amending City Code Chapter 53.111 - Deduct Meters (First Reading)
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source: N/A
Ordinance No. 22-836
The City Council hereby ordains:
§ 53.111 DEDUCT METERS (draft amendment).
If a sanitary sewer customer feels that a significant amount of metered water will not or does not reach
the sanitary sewer, a customer may select one of the following options.
(A) The customer may request to have a deduct meter installed, as necessary to calculate the
volume of water not discharged to the sanitary sewer. In the case of significant industrial users or other
commercial, industrial or institutional customers, they may request to measure the actual amount of
sewage discharged to the sanitary sewer using other mutually acceptable means.
(1) Requests for a deduct meter or other means of measuring sewage must be made in writing. In
the event the City agrees to the installation, the customer shall make provisions for installation of
the deduct meter or other mutually acceptable measuring devices at their own cost and shall be
charged for all costs related thereto incurred by the City.
(2) No provision shall be made, nor shall any means be taken, to route any water into the
customer's domestic water system after having flowed through a deduct meter or having been
measured in any other way.
(3) In addition to the remedies set forth in § 53.151 of this chapter, any violation of this chapter
will result in nullification of the deduct readings and removal of the deduct meter or other
measuring device.
(4) Water that flows through deduct meters, or is measured though other mutually acceptable
means, and does not reach the sewer system shall be charged as described in the rates identified
within the City's fee schedule or be identified in a separate agreement with the customer.
(B) In the event it is physically impractical or impossible to install metering equipment, the
customer may request the Council to take means it deems necessary to formulate an estimate of the
amount of water not being discharged into the sanitary sewerage system or, conversely, the amount of
actual sewage discharged thereto and all related charges, credits or other provisions shall be identified
in a separate agreement with the customer.
§ 53.111 DEDUCT METERS.
If a = feels that a significant amount of metered water will not or does not reach the
sanitary sewer, a customer may select one of the following options.
(A) The customer may request � to have @- deduct mete installed, as
necessary to calculate the volume of water not discharged to the sanitary sewer . In the case
of si nificant industrial users or other commercial industrial or institutional E customers • they may request
to measure the actual amount of sewage discharged to the sanitary sewer
usin other nutually acceptable means. E1 Re nests for a deduct �1 meter or other means of
measurina sewa a must be made in writing . In the event the City agrees to
the installation , the customer shall make provisions for the installation of the deduct meter or other mutual)
acceptable measuring devices at their own cost and shall be charged for all costs related thereto
® JU2 No provision shall be made, nor shall any means be taken, to route water into the customer's domestic
water system after having flowed through a ® deduct meter or
having been measured in any other way. JU3 In addition to the remedies set forth in § 53.151 of this chapter, any
violation of this chapter will result in nullification of the deduct readings and removal of the deduct meter likow
measuring device.
(B) In the event it is physically impractical or impossible to install metering equipment, the customer may request
the Council to take means E it deems necessary to formulate an estimate of the amount of water not being
discharaeed into the sanitary sewerage system or, conversely, the amount of actual sewage discharged thereto and all
(C) Water that flows through deduct meters and does not reach the sewer system shall be charged aid in
the rates identified within the Citv's fee schedule or be identified in a separate aareement with the
(2004 Code, § 53.101) (Ord. 781, passed 7-19-1988)
Adopted by the Hutchinson City Council this day of 12023.
Gary T. Forcier, Mayor Matthew Jaunich, City Administrator
�s HUTCHINSON CITY COUNCIL
Request for Board Action
Jefferson St SE turnback agreement
Agenda Item:
Department: PW/Eng
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
As part of proposed improvements on Jefferson St SE (Airport Rd to Edmonton Ave SE) and the
construction of a roundabout intersection at Airport Rd & Jefferson St SE, the County will be
conducting a construction project.
Following this project, the entire length of Jefferson St SE that lies north of the roundabout
intersection will be turned back to the City.
The City will be participating in construction costs, as defined in the agreement and will perform
inspection services for that portion of the project being done by the City.
The attached agreement was reviewed by both the City and County attorneys. The McLeod
County Board approved the agreement at their December 20, 2022 meeting.
BOARD ACTION REQUESTED:
Consideration of approving turnback agreement with McLeod County
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source: N/A
COOPERATIVE AGREEMENT
FOR CONSTRUCTION AND JURISDICTIONAL TRANSFER
OF COUNTY STATE AID HIGHWAY 25 (JEFFERSON STREET SE) IN HUTCHINSON MN
THIS COOPERATIVE AGREEMENT FOR ROAD CONSTRUCTION AND JURISDICTIONAL TRANSFER ON A
PORTION OF COUNTY STATE AID HIGHWAY 25, ("Agreement") is made and entered into as of the day of
2022, by and between the City of Hutchinson MN ("City"), and the County of McLeod ("County")
(each sometimes hereinafter called "party" and both sometimes collectively "parties") the parties being
governmental and political subdivisions of the State of Minnesota.
WITNESSETH:
WHEREAS, each of the parties has the authority to construct, maintain, repair, and improve public streets
within their respective jurisdictions; and
WHEREAS, County State Aid Highway 25 (CSAH 25) is a duly dedicated and opened public street, located
within the corporate limits of City; and
WHEREAS, the parties desire to undertake a joint project involving right of way acquisition, roundabout
construction, grading, aggregate base, bituminous/concrete surfacing, curb & gutter, sidewalk, storm sewer, trail,
and other incidentals, and to share the costs of such improvement as herein provided; and
WHEREAS, upon completion of the project, the County desires to transfer ownership of a segment of State
Aid highway along with associated infrastructure over to the City; and
WHEREAS, the authority of the parties to enter into this Agreement is provided by Minnesota Statutes,
sections 471.59.
NOW, THEREFORE, in consideration of the mutual promises and covenants of each to the other contained
in this Agreement and other good and valuable consideration, receipt of which is hereby acknowledged, the parties
hereto do covenant and agree as follows:
ARTICLE I
THE AGREEMENT
Section 1.01. Purposes. The purpose of this Agreement is to define the rights and obligations of the City
and the County with respect to the Project, the sharing of the costs of the Project, and the Jurisdictional Transfer.
Section 1.02. Cooperation. The City and the County shall cooperate and use their best efforts to ensure
the most expeditious implementation of the various provisions of this Agreement. The parties agree in good faith
to undertake resolution of disputes, if any, in an equitable and timely manner.
Section 1.03. Relationship to Other Contracts. The City and the County acknowledge that Contract
Documents will be entered into by the County on behalf of the parties with respect to the Project, and that Change
Orders or other documents may be entered into and processed by the County on behalf of the parties, with respect
to the Project. This Agreement shall be construed so as to give the fullest effect to its provisions, consistent with
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the provisions of the other contracts and documents referred to above.
Section 1.04. Term. The term of this Agreement shall be for a period commencing on the date hereof and
terminating on the date the Project is completed, accepted by the parties and all amounts owed by one party to
the other or to the project contractor have been paid in full, and the Jurisdictional Transfer is completed.
Section 1.05. Recitals. The above recitals are true and correct as of the date hereof and constitute a part
of this Agreement.
ARTICLE II
nFFINITInNC
Section 2.01. Definitions. In this Agreement the following terms shall have the following meanings unless
the context requires otherwise:
a) Agreement: this Agreement, as it may be amended, supplemented, or restated from time to time.
b) Change Order: a written order to the Contractor approved by applicable parties hereto and signed by the
County Representative on behalf of the parties authorizing a change in the work included within the
Contract Documents and/or an adjustment in the price and/or an adjustment in the construction schedule,
issued after execution of the contract for the construction of the Project.
c) Contract Documents: drawings; specifications; general and special conditions; addenda, if any; Change
Orders; and the construction contract for the Project; approved by the parties, or their respective
representatives.
d) Contractor: the person or entity which is awarded the contract for the construction of the Project.
e) City: Hutchinson, MN.
f) City Representative(s): Public Works Director and/or City Engineer.
g) County: McLeod County.
h) County Representative: John Brunkhorst, McLeod County Engineer/Public Works Director or his successor.
i) Proiect: right of way acquisition, roundabout construction, grading, aggregate base, bituminous/concrete
surfacing, curb & gutter, sidewalk, storm sewer, trail, and other incidentals on CSAH 25 (Jefferson Street SE)
between CSAH 115 (Airport Road) & 1,830' north of CSAH 115.
j) Jurisdictional Transfer: the transfer of segments of State Aid street and highway, as defined in Article V.
k) Proiect Costs: all costs for and associated with the construction of the Project, including Design Engineering
Costs, Construction Engineering Costs, and City/County Direct Costs.
1) Design Engineering Costs: the fees and costs for all consulting engineers preparing Contract Documents.
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m) Construction Engineering Costs: the fees and costs for all consulting engineers performing Project
construction inspection.
n) City/County Direct Costs: the compensation and wages (including applicable payroll burden) of City/County
employees for the time(s) such employees are performing services on behalf of the Project, including
construction inspection, and other incidentals.
o) Right of Way Acquisition: the process of obtaining Right of Way, including but not limited to: surveying
property, drawing parcel maps, researching titles, appraising parcels, negotiating with property owners,
purchasing parcels, working with potential relocation, condemnation proceedings, and other incidentals.
p) Street: CSAH 25 (Jefferson Street SE).
q) Uncontrollable Circumstances: the occurrence or non-occurrence of acts or events beyond the reasonable
control of the party relying thereon, and not the result of willful or negligent action or inaction of the party
claiming the event as an Uncontrollable Circumstance, that materially adversely affects the performance of
the party claiming the event as an Uncontrollable Circumstance including but not limited to the following:
(1) Acts of God, including, but not limited to floods, ice storms, blizzards, tornadoes, landslides,
lighting and earthquakes (but not including reasonably anticipated weather conditions for the
geographic area), riots, insurrections, war or civil disorder affecting the performance of work,
blockades, power or other utility failure, and fires or explosions.
(2) The adoption of or change in any federal, state, or local laws, rules, regulations, ordinances,
permits, or licenses, or changes in the interpretation of such laws, rules, regulations,
ordinances, permits, or licenses by a court or public agency having appropriate jurisdiction
after the date of the execution of this Agreement.
(3) A suspension, termination, interruption, denial, or failure of renewal of any permit, license,
consent, authorization, or approval essential to the construction of the Project.
(4) Orders and/or judgment of any federal, state, or local court, administrative agency, or
governmental body, provided, however, that the contesting in good faith by such party of any
such order and/or judgment shall not constitute or be construed to constitute a willful or
negligent action or inaction of such party.
(5) Strikes or other such labor disputes shall not be considered an Uncontrollable Circumstance,
unless such strike or labor dispute involves persons with whom the parties have no
employment relationship and the parties, or either of them, cannot, using best efforts, obtain
substitute performance.
ARTICLE III
CONSTRUCTION
Section 3.01. Contract Award. The Contract Documents shall be approved by the parties prior to the
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solicitation of bids. In accordance with the applicable provisions of Minnesota Statutes Ch. 160, County will cause
bids to be received by it for the construction of the Project and, subject to approval by the City, shall award the
contract for the construction of the Project to the lowest responsible bidder.
Section 3.02. Project Construction. Subject to Uncontrollable Circumstances, County shall cause the
Project to be constructed in accordance with the Contract Documents.
Section 3.03. Construction Administration. County shall perform appropriate Project construction
administration services, including but not limited to processing Change Orders and Contractor pay requests.
Section 3.04. Construction Inspection.
(a) County shall perform appropriate Project Construction inspection services for construction activities
funded by the County.
(b) City shall perform appropriate Project Construction inspection services for construction activities
funded by the City.
(c) Construction inspection services shall include, without limitation, representation of the parties hereto
with regard to activities of the Contractor at the construction site, periodic observations of the work at
the construction site, and initiate appropriate action to present or have corrected as appropriate, any
work observed not to be in accordance with the Contract Documents. Parties shall not be responsible
for the acts or omissions of the Contractor nor shall the Parties be responsible for construction means,
methods, techniques, sequences, procedures or safety precautions at the construction site.
ARTICLE IV
PROJECT COSTS
Section 4.01. Allocation.
(a) The Project Costs shall be allocated between the parties in accordance with Exhibit No. 1, which shows
the items of construction and associated costs. The costs shown in Exhibit No. 1 are not actual costs,
but are estimated costs only. The costs to be paid by each party are actual costs of the Project based
on the Contractor prices and final Project quantities.
(b) The Design Engineering Costs shall be allocated between the parties as determined by the City and
County Representative.
(c) The Construction Engineering Costs shall be allocated between the parties as determined by the City
and County Representative.
(d) All other Costs including, but not limited to City/County Direct Costs, shall be allocated between the
parties as determined by the City and County Representative.
Section 4.02. Payments to Contractor. County shall make progress payments to the Contractor and, upon
approval of both parties hereto, the final payment to the Contractor in accordance with the Contract Documents.
Section 4.03. Reimbursement. The City shall pay to County the City's share of the Project Costs within
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thirty five (35) days after receipt by City of each itemized written invoice therefor from the County.
Section 4.04. Adjustments. To the extent that the actual value of any item included in an invoice cannot
be accurately determined at the time of submission of the invoice, such item shall be invoiced on an estimated basis
and an adjustment shall be made to reflect the difference between such estimated amount and the actual amount
of such item on the next invoice after determination of the actual amount.
ARTif i F V
JURISDICTIONAL TRANSFER PROVISIONS
Section 5.01. Terms. Upon completion of Project, County and City shall work with MnDOT State Aid to
transfer ownership of a portion of CSAH 25 (Jefferson Street SE), as further defined below.
(a) City shall take ownership of CSAH 25 (Jefferson Street SE) between CSAH 115 (Airport Road) and
Edmonton Avenue (approximately 2,112 feet).
Section 5.02. Maintenance and future construction. Upon completion of the Jurisdictional Transfer, County
and City shall be responsible for any future work as defined below.
(a) All future construction on Jefferson Street SE between CSAH 115 (Airport Road) and Edmonton Avenue
shall be responsibility of the City.
(b) Routine maintenance (snow/ice control, patching, shouldering, etc.) on said segment shall be
performed by the City.
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ARTICLE VI
GENERAL PROVISIONS
Section 6.01. Notices. All notices or communications required or permitted pursuant to this Agreement
shall be either hand delivered, mailed, or transferred electronically (e-mail) to City and County, at the following
address:
City: Public Works Director and/or City Engineer
City of Hutchinson
111 Hassan St SE
Hutchinson MN 55350
County: County Engineer/Public Works Director
McLeod County Public Works
1400 Adams Street SE
Hutchinson MN 55350
Either party may change its address or authorized representative by notice delivered to the other party pursuant
to this Section 6.01.
Section 6.02. Counterparts. This Agreement may be executed in more than one counterpart, each of which
shall be deemed to be an original but all of which taken together shall be deemed a single instrument.
Section 6.03. Survival of Representations and Warranties. The representations, warranties, covenants,
and agreements of the parties under this Agreement, and the remedies of either party for the breach of such
representations, warranties, covenants, and agreements by the other party shall survive the execution and
termination of this Agreement.
Section 6.04. Non -Assignability. Neither the City nor the County shall assign any interest in this Agreement
nor shall transfer any interest in the same, whether by subcontract, assignment or novation, without the prior
written consent of the other party. Such consent shall not be unreasonably withheld.
Section 6.05. Alteration. Any alteration, variation, modification or waiver of the provisions of the
Agreement shall be valid only after it has been reduced to writing and duly signed by all parties.
Section 6.06. Waiver. The waiver of any of the rights and/or remedies arising under the terms of this
Agreement on any one occasion by any party hereto shall not constitute a waiver or any rights and/or remedies in
respect to any subsequent breach or default of the terms of this Agreement. The rights and remedies provided or
referred to under the terms of this Agreement are cumulative and not mutually exclusive.
Section 6.07. Severability. The provisions of this Agreement are severable. If any paragraph, section,
subdivision, sentence, clause or phrase of this Agreement is for any reason held to be contrary to law, or contrary
to any rule or regulation having the force and effect of law, such decision shall not affect the remaining portions of
this Agreement.
Section 6.08. Interpretation According to Minnesota Law. This Agreement shall be interpreted and
construed according to the laws of the State of Minnesota.
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Section 6.09. Entire Agreement. This Agreement shall constitute the entire agreement between the parties
and shall supersede all prior oral or written negotiations.
Section 6.10. Headings. The headings to the various sections of this Agreement are inserted only for
convenience of reference and are not intended, nor shall they be construed, to modify, define, limit, or expand the
intent of the parties as expressed in this Agreement.
Section 6.11. Further Actions. The parties agree to execute such further documents and take such further
actions as may reasonably be required or expedient to carry out the provisions and intentions of this Agreement,
or any agreement or document relating hereto or entered into in connection herewith.
Section 6.12. Parties in Interest. This Agreement shall be binding upon and insure solely to the benefit of
the parties hereto and their permitted assigns, and nothing in this Agreement, express or implied, is intended to
confer upon any other person any rights or remedies of any nature under or by reason of this Agreement.
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IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be executed by their duly authorized
representatives as of the day and year first above written.
Attest:
By:
Name:
Title:
Attest:
By:
Name:
Title:
Attest:
By:
Name:
Title:
Attest:
By:
Name:
Title:
CITY OF HUTCHINSON
By:
Name:
Title:
Date:
By:
Name:
Title:
Date:
McLEOD COUNTY
By:
Name: Doug Krueger
Title: Board Chair
Date:
By:
Name: Sheila Murphy
Title: County Administrator
Date:
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McLEOD - HUTCHINSON JEFFERSON STREET COOPERATIVE AGREEEMENT
EXHIBIT I - 11-15-2022
.1 A
McLEOD - HUTCHINSON JEFFERSON STREET COOPERATIVE AGREEEMENT
EXHIBIT I - 11-15-2022
0001.
.... ......
McLEOD - HUTCHINSON JEFFERSON STREET COOPERATIVE AGREEEMENT
EXHIBIT I - 11-15-2022
HUTCHINSON CITY COUNCIL
Request for Board Action
Resolution No. 15544 - 2023 City Compensation Plan/Classification Table and Pay
Agenda Item:
Grid
Department: Adminstration
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Matt Jaunich
Agenda Item Type:
Presenter: Matt Jaunich
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 10
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
Attached is Resolution No. 15544, the proposed 2023 Compensation Plan for the City of
Hutchinson. Please note that this policy, proposed to be effective on January 1, 2023, will
replace the current 2022 Compensation Plan.
The proposed 2023 pay grid included in the plan reflects a 4% market adjustment to the 2022
grid pay rates. This market adjustment is recommended per the results of the research
conducted by the Wage Committee. Research indicated a 4% adjustment should keep the pay
grid in line with the public sector compensation market. The Wage Committee is confident in the
4% adjustment, but is committed to further adjustments for 2024 should the 4% be inadequate in
keeping up with the public sector compensation market.
The position classification table reflects the position title and grade changes that are
recommended per the budgeting process.
Please note that this market increase adjusts the pay grid but does not result in comprehensive
across the board market increases for all regular employees. Increases are only proposed for
those employees whose pay would fall below the minimum of the pay grid as of January 1, 2023.
BOARD ACTION REQUESTED:
Consideration and approval of Resolution No. 15544 City of Hutchinson 2023 Compensation Plan,
Position Classification Table and Pay Grid
Fiscal Impact: Funding Source: General Fund and Enterprise Fund Budgets
FTE Impact: Budget Change: No
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
RESOLUTION NO. 15544
CITY OF HUTCHINSON
2023 COMPENSATION PLAN
RESOLUTION ADOPTING THE PLAN, POSITION CLASSIFICATION
ASSIGNMENT TABLE AND PAY GRID EFFECTIVE JANUARY 1, 2023
WHEREAS, the City Council has considered the existing classification of positions for the
City of Hutchinson and the current economic conditions,
BE IT RESOLVED, that a Compensation Plan is hereby adopted. All positions covered by this
Resolution shall be grouped in grades having a definite range of difficulty and responsibility. For
each position there shall be a title; and there shall be shown examples of work which are
illustrative of duties of positions, as well as requirements as to knowledge, abilities and skills
necessary for performance of the work; and a statement of experience and training desirable for
recruitment into a position.
A. Plan Objectives
• To establish and maintain a compensation plan that enables the City of Hutchinson to be
highly competitive within our defined market.
• To lead or exceed the market in attracting and retaining qualified, reliable and motivated
employees who are committed to quality and excellence for those we serve.
• To ensure, subject to the financial condition of the City, that employees receive fair and
equitable compensation in relation to their individual contributions to the City's success.
• To follow the principles of pay equity in establishing and maintaining pay relationships
among positions based on the categories of the Keystone Job Leveling System.
• To ensure program flexibility necessary to meet changing economic, competitive,
technological, and regulatory conditions encountered by the City.
• To balance compensation and benefit needs with available resources.
B. Plan Structure
The compensation plan specifies salary range minimums and maximums. The intent of each
salary grade is to fall within 80% and 120% of identified market for positions within the grade.
(See Attachment B)
Each numbered pay grade in the basic table consists of the following-
1 . Salary Minimum: The lowest amount paid to an employee in a specific job
grade or class. No employee will receive less than the minimum rate. (80% of market)
2. Salary Mid-point/Market Rate: The middle of the salary range. (100% of market)
3. Salary Maximum: The highest amount paid to an employee in a specific job
grade or class. No employee will be paid a base rate above the maximum of the salary
range. (120% of market).
C. Open Salary Range
The City shall adopt an Open Salary Range compensation plan that will allow for maximum
flexibility and in -range salary administration since there are not defined or pre -calculated
"steps". Employee movement within the pay grade range to which their position is assigned is
based solely on performance. The open salary range concept rewards good and exceptional
performers and advances employees to the market rate more quickly. (See item I. [4])
D. Position Classification Assignment
The position assignment table shall assign all of the various positions to the appropriate pay
grade (See Attachment A).
The City Administrator and Human Resources Director may jointly approve a reclassification of a
position provided the reclassification does not exceed two grades upward or two grades downward
from the current pay grade. To initiate consideration of this type of reclassification, the department
director shall submit in writing the specific reasons for the reclassification.
Any changes to the classification of a position of more than two pay grades shall be approved
by the City Council. Requests for reclassification are normally brought before the Council with
the annual budget process, and at other times of the year, as needed. To initiate such a
reclassification request, the department director shall submit a written request for consideration
to the City Administrator and the Human Resources Director. The request shall include a
description of significant or considerable changes to the position that warrant a reclassification.
The City Administrator and Human Resources Director will determine if the reclassification
request is to be forwarded to the City Council for consideration.
E. Allocation of New Positions
When a new position is created for which no appropriate description exists or when the duties of
an existing position are sufficiently changed so that no appropriate description exists, the City
Council, after recommendation of the Human Resources Director, shall cause an appropriate
job description -specification to be written for said position.
F. Pay Grades
1. Exempt Employees
Each position is assigned a pay grade. The normal beginning rate for a new employee
will be the minimum rate. After satisfactory completion of the required probationary
period, an increase may be granted as warranted by the annual performance appraisal.
Thereafter, consideration for increases may be given annually on a standardized date
established by the City. The City Administrator reserves the discretion to adjust
individual rates within the assigned pay grades as required. The Council will determine
any pay increase for the City Administrator.
2. Non -Exempt Employees
Each position is assigned a pay grade. The normal beginning rate for a new employee
will be the minimum rate. After satisfactory completion of the required probationary
period, an increase may be granted as warranted by the annual performance appraisal.
Thereafter, consideration for increases may be given annually on a standardized date
established by the City. The City Administrator reserves the discretion to adjust individual
rates within the assigned pay grades as required.
3. Police Patrol Positions
The position of full time police patrol officer is assigned to Grade 160 on the pay plan.
Temporary assignments will be made from these positions as needed for the
investigative function for the department. With said assignment, there will be an
additional $200.00 per month premium on top of the employee's patrol officer pay grid
assignment.
The City Administrator and the Human Resources Director, as directed by the Administrator, shall
maintain the discretion to hire at any point within the range based on the qualifications, experience,
market conditions or other relevant factors, to secure the best candidate for the position.
G. Promotion, Position Reclassification, and Demotion Pay Rate Adjustment
1. When an employee is promoted or the position to which they are appointed is
reclassified upward, the employee's pay rate will be adjusted as follows:
a. If the promotion or reclassification results in a one grade adjustment upward, the
employee shall be compensated within the higher salary range at a rate that is equal
to the compa ratio of the employee's pay rate in their current range.
b. If the promotion or reclassification results in more than a one grade adjustment
upward, the employee's pay rate will be adjusted by using one of the following
methods:
To at least the minimum of the higher salary range for classified staff positions; or
If the employee's current pay rate is at or above the minimum of the promotional
or reclassified position, the pay rate may be increased to a level within the salary
range or budgeted pay rate amount that is equitable, based on the employee's
related experience, qualifications and the pay rates of the other employees in the
same position; or, the appropriate pay rate based on market conditions and
competition. Generally, this pay rate increase ranges from 5% to 10%; or,
iii. To a level within the higher salary range that is equal to the compa ratio of the
employee's pay rate in the current range if the increase does not exceed 10%.
2. When an employee is demoted or the position to which they are appointed is reclassified
downward, the employee's salary will be adjusted as follows:
a. If the employee's current pay rate is within the salary range of the resulting position,
the pay rate will remain unchanged.
b. If the employee's current pay rate is above the maximum of the salary range, the
current pay rate may be maintained, but frozen until the pay rate falls within the
salary range as a result of adjustments to the pay grid, or may be lowered to the
maximum pay rate of the lower pay grade.
When making salary adjustment decisions, the following may be considered:
• market condition trends, such as inflation and the current salary rates for the external
market
• employee performance to reward increased productivity and performance improvements
• available resources, salary maximums, and other restrictions to ensure that the increase
is allowable and that funds exist to cover it
The City Administrator will normally discuss the proposed pay adjustment with the
director/department head and the Human Resources Director. The City Administrator must
approve any pay rate adjustment due to promotion, reclassification or demotion and may
vary from this policy and approve a different pay rate adjustment, per his/her discretion.
Definitions
Promotion - A promotion is the appointment of a current, active regular employee to a
position in a higher salary range than the one to which the position is presently assigned.
Most promotions will occur as a result of a job posting or a departmental reorganization. A
promotion is also advancement to a position that requires performing accountabilities of
increased complexity or responsibility.
Demotion - A demotion is the appointment of a current, active regular employee to a position
in a lower salary range than the one to which the position is presently assigned. Most
demotions will occur as a result of a departmental reorganization or disciplinary action. A
demotion is also an appointment to a position that requires performing accountabilities of
decreased complexity or responsibility.
Reclassification — A reclassification is the placement of a current position in a higher or lower
salary grade because the position evaluation criteria have changed and now meet the
requirements of a higher or lower pay grade.
I. Performance Evaluations
1. For all regular full time and part time employees, a performance appraisal or evaluation
will be made on, at minimum, an annual basis and per city policy No. 3.08. An
evaluation made by the employee's supervisor shall be submitted in writing to the
employee and to the City Administrator/Human Resources Director. All evaluations will
be forwarded to Human Resources for filing in the employee files.
2. Evaluations shall be based upon the performance of the individual in the position
measured against established job performance criteria. Such criteria may include level
of knowledge, skills, ability, and quality of work, personal work traits, compliance with
established City or departmental rules and regulations or any other criteria that is
indicative of performance.
3. The performance appraisal process is the application of performance standards to past
performance. In appraising an employee, these are the basic levels of performance:
Outstanding Performer - Performance is exceptional in all areas and is recognizable as
being far superior to others.
Exceeds Expectations - Results clearly exceed most positions requirements.
Performance is of high quality and is achieved on a consistent basis.
Solid Performer - Competent and dependable level of performance. Meets
performance standards of the job.
Needs Improvement - Performance is deficient in certain area(s). Improvement is
necessary.
Unsatisfactory - Results are generally unacceptable and require immediate
improvement.
4. Results
The results of the employee's evaluation will normally have the following effect on his/her
salary per the following Merit Increase Guide:
Merit Guide Chart
Pay Level Within Grade
Compa Ratio
80-88
88.1-96
96.1-104
104.1-112
112.1-116
116.1-120
Performance Rating
Minimum
Lower
Middle
Midpoint
(Competitive
Market)
Upper Middle
Maximum
Maximum
Outstanding Performer (4.51- 5)
7%
6%
5%
4%
3%
2%
Exceeds Expectations (3.51- 4.5)
6%
5%
4%
3%
2%
1%
Solid Performer (2.51- 3.5)
5%
4%
3%
2%
1%
0%
Needs Improvement (1.51- 2.5)
2%
0%
00/0
00/0
00/0
0°%
Unsatisfactory (0 - 1.5)
0%
0%
00/.
00/0
Oio
0%
NOTE: 1) % increase may not result in a pay rate higher than the maximum noted on the pay grid
*Compa-ratio refers to the location of the individual in the range relative to the market.
Merit/performance increases for eligible regular full time and regular part time employees
will be effective on the first date of the first full pay period commencing on or after March
1, except for newly hired employees. For 2023, the effective date is Sunday, March 5,
2023. New employees are eligible for consideration for a merit/performance increase
after one year of continuous employment, generally, the first year anniversary date. In
subsequent years, eligible employees will be eligible for consideration for the merit/
performance increase as specified previously and at the discretion of the department
director. Application of merit/performance increases for employees appointed to the
positions of full time police patrol officer and police sergeant is subject to collective
bargaining.
5. Market Conditions
Notwithstanding any language to the contrary, the City Council retains the right to deviate
from the pay plan when, in the sole judgment of the City Council, market conditions or
other circumstances dictate such a decision.
The City Administrator and Human Resources Director maintain final approval responsibility for
salary increases.
J. Annual Market Adjustment Consideration
As part of the budget preparation process, an annual market adjustment to the existing pay grid,
expressed as a percentage increase, is recommended to the City Council for review and
consideration for approval.
In determining a recommendation for an annual market adjustment, at least the following
information shall be considered-
1 . U.S., Midwest, and Minneapolis/St. Paul consumer price index changes (CPIU & CPIW)
2. Employment cost data
3. Social Security and PERA calculation of cost of living increase
4. Unemployment rate
5. Employee turnover rate
6. Legislative growth factor constraints
An approved market adjustment is applied only to the City Pay Grid, and no individual market
increases will be granted in 2023. If an adjustment to the pay grid results in a regular
employee's wages being below the minimum rate of the grid, the wages for the affected
employee(s) will be increased to the newly established minimum rate effective January 1st
K. Modification of the Plan
The City Council reserves the right to modify any or all of the components or to vary from any of
the components of the Compensation Plan at its discretion and at any time.
L. Review of the Plan
As often as necessary to assure continued correct classification, the Position Evaluation and
Compensation Plan shall be reviewed by the Human Resources Director and necessary
adjustments recommended to the City Council. It is recommended that a comprehensive review
be completed at least every five years.
M. Filing of the Plan
Upon adoption of the Resolution, a copy of the Compensation Plan approved by the City
Council shall be placed on file with the City Administrator. The plan so filed and subsequently
adjusted by the Council shall be the Compensation Plan of the City.
BE IT FURTHER RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON
That the following tables are hereby adopted as the City Position Classification Table and Pay
Grid, to be reviewed from time to time, as appropriate.
Adopted by the City Council this day of , 2022. (This replaces
Resolution No.15380)
ATTEST:
Matthew Jaunich, City Administrator
Gary Forcier, Mayor
CITY OF HUTCHINSON
2023 Position Classification Table
Grade
Position
110
PT Adaptive Recreation Coordinator
110
PT Office Specialist - Event Center
110
PT PRCE Receptionist
120 Administrative Secretary - Public Works
120 Motor Vehicle Licensing Clerk FT/PT
120 Planning/Building/EDATechnician
120 PRCE Office Specialist - FT
120 Recreation Facility Maintenance Technician
120 Recreation Specialist/Concessions Coordinator PT
120 Utility Billing Specialist
120 Water/Wastewater Technician
130 Compost Laborer
130 Hospital Security Guard - FT/PT
130 Human Resources/Administrative Technician
130 Motor Vehicle Technician
130 Planning and Building Administrative Specialist
130 Police Administrative Specialist
130 Police Supplemental Services Specialist
130 Public Works Maintenance Operator
130 Resource Recovery Coordinator
130 Wastewater Maintenance Operator
130 Water Plant Operator
140 Compost Equipment Operator
140 Compost Operations Specialist
140 Engineering Administrative Specialist
140 Lab Technician/Wastewater Operator
140 Lead Police Administrative Specialist
140 Parks Maintenance Equipment Operator
140 Payroll/Benefits Specialist
140 Plant Equipment Mechanic II
140 Police Data Release Coordinator
140 Police Investigations Specialist
140 PRCE Facilities Operations Specialist
140 Senior Accounting Specialist
140 Senior Liquor Sales Clerk
140 Senior Public Works Maintenance Operator
140 Senior Water Plant Operator
140 Senior Wastewater Operator
150 Compost Coordinator
150 Inspector
150 Engineering Specialist
Grade
150
150
150
150
150
Position
Equipment Mechanic
Event Center/Senior Center Programmer
Parks Maintenance Specialist
Sales & Marketing Specialist
IT Technician
160
Arborist
160
Building Inspector
160
City Clerk/Paralegal
160
Maintenance Lead Operator
160
Police Officer- FT/PT
170
Recreation Services Coordinator
170
Senior Engineering Specialist
170
Server/Network Technician
180 Building Official
180 Facilities Manager
180 Motor Vehicle Deputy Registrar
180 Parks Supervisor
180 Police Sergeant
180 Project/Environmental/Regulatory Manager
180 Recreation Facilities Operations Manager
190
Police Lieutenant
190
Assistant Finance Director
190
Wastewater Supewiser Manager
190
Water Supervise Manager
200
Compost Manager
200
Economic Development Director
200
Fire Chief
200
Liquor Sales Manager
200
Public Works Manager
220 Finance Director
220 Human Resources Director
220 Information Technology Director
220 Parks/Recreation/Community Ed (PRCE) Director
220 Planning Director
230 City Attorney
230 Police Chief/Emergency Management Director
230 Public Works Director/City Ef%g nee
260 City Administrator
Attachment A
2023 Proposed Hutchinson Pay Grid
Grade
MIN
MID/ MARKET
MAX
80%
100%
120%
260
$56.90
$71.13
$85.35
250
$53.63
$67.04
$80.45
240
$50.85
$63.56
$76.28
230
$48.57
$60.72
$72.86
220
$44.28
$55.35
$66.42
210
$42.00
$52.50
$63.00
200
$39.96
$49.95
$59.94
190
$36.18
$45.22
$54.26
180
$33.40
$41.75
$50.09
170
$30.55
$38.19
$45.83
160
$29.10
$36.37
$43.64
150
$26.82
$33.52
$40.22
140
$25.31
$31.64
$37.96
130
$23.53
$29.41
$35.29
120
$21.50
$26.87
$32.25
110
$18.71
$23.39
$28.07
100
$16.69
$20.86
$25.03
Attachment B
cR HUTCHINSON CITY COUNCIL
HUTCHINSON Request for Board Action
A CITY ON PURPOSE.
Resolution 15545 - Paid On Call Firefighter Compensation Plan
Agenda Item:
Department: Adminstration
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Matt Jaunich
Agenda Item Type:
Presenter: Matt Jaunich
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
Attached is Resolution 15545, the proposed Paid On Call Firefighter Compensation Plan for the
City of Hutchinson.
Pay practices detailed in this plan have been in place procedurally, but in an effort for
consistency, a formal compensation plan has been recommended by Fire Chief Schumann, City
Administrator Matt Jaunich, and HR Director Kellie Wendland.
BOARD ACTION REQUESTED:
Consideration and approval of Resolution No. 15545 City of Hutchinson Paid On Call Firefighter
Compensation Plan
Fiscal Impact: Funding Source: General Fund and Rural Fire Fund
FTE Impact: Budget Change: No
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
HUTCHINSON
A CITY ON PURPOSE.
RESOLUTION NO. 15545
Paid On -Call Firefighter Compensation Plan
RESOLUTION ADOPTING THE PLAN EFFECTIVE JANUARY 1, 2023
WHEREAS, the City Council has considered the existing job duties and
responsibilities of Paid On -Call Firefighter positions for the City of Hutchinson and the
current economic conditions,
BE IT RESOLVED, that a Paid On -Call Firefighter Compensation Plan is hereby
adopted. All positions covered by this Resolution shall be grouped into three
categories. For each position there shall be a position description which will include: a
title, detailed responsibilities, required knowledge, skills, and abilities necessary for the
position, and defined experience and training required and/or desirable for the position.
A. Wages
Firefighter employees shall be paid per hour for responding to emergency calls for
service and attending meetings, drills and other special details required by the Fire
Chief or his/her designee. All hours worked shall be rounded up to the next full
quarter hour for purposes of determining compensation.
B. Pay Periods
The pay periods for firefighter employees are the four quarters of the calendar year.
C. Paydays
Firefighter employees are paid quarterly with the first full bi-weekly City payroll of
each calendar year quarter. Payment is for the preceding quarter.
D. Officer Pay
Firefighter Officers are paid an annual stipend on or about November 1, annually.
(See Appendix A)
E. Direct Deposit
As permitted by Minn. Stat. § 471.426, and per City of Hutchinson Policy No. 3.32,
direct deposit of payroll is required for all employees.
F. Pay Schedule
Each of the three categories of positions will be assigned a starting pay rate. (See
Appendix B)
G. Pay Increases
Non -probationary and non -rookie Firefighters and Fire Officers are eligible for
consideration for a 0% - 4% merit/performance pay increase, annually. Performance
evaluations are completed each January for the preceding calendar year to
determine the performance pay increase percentage.
H. Modifications to the Plan
The City of Hutchinson reserves the right to modify this plan at its discretion.
I. Review of the Plan
As often as necessary, the Paid On -Call Firefighter Compensation Plan, including
appendices, shall be reviewed by the Human Resources Director and necessary
adjustments will be recommended to the City Council. It is suggested that a
comprehensive review be completed at least every five years.
J. Filing of the Plan
Upon adoption of the Resolution, a copy of the Paid On -Call Firefighter
Compensation Plan approved by the City Council shall be placed on file with the City
Administrator. The plan so filed and subsequently adjusted by the Council shall be
the Paid On -Call Firefighter Compensation Plan of the City.
BE IT FURTHER RESOLVED BY THE CITY COUNCIL OF THE CITY OF
HUTCHINSON
That the following appendix is hereby adopted as the City of Hutchinson Fire
Department Officer Pay, to be reviewed from time to time, as appropriate.
Adopted by the City Council this
replaces Resolution No.15380)
ATTEST:
Matthew Jaunich, City Administrator
day of , 2022. (This
Gary Forcier, Mayor
Appendix A — Hutchinson Fire Department Officer Pay
Officer Position
Assistant Chief — 1 position
Battalion Chief — 2 positions
Lieutenant — 4 positions
Secretary — 1 position
Annual Officer Pay
$4,550.00
$3,550.00
$2,550.00
$300.00
• A $1,000.00 differential will be maintained each subsequent calendar year (i.e.
$2,000 - $3,000 - $4,000).
• Chief Officers and Lieutenants receive the annual pay to offset donated hours
throughout the year for on -call coverage (approximately 686 hours), various extra
meetings and trainings, and other projects completed, annually.
Appendix B — Firefighter Position Pay Rates
Firefighter Pa
Position
Pay Rate
Probationary/Rookie Firefighter
$14.00 / hour
Firefighter 1 trained and/or bade pinned employee
$15.00 / hour
Fire Department Officer
$17.00 / hour
minimum
u
now
now
HUTCHINSON
A CITY ON PURPOSE.
December 27, 2022
To the Honorable Mayor Gary Forcier and
City Council Members of the city of Hutchinson
RE: 2023 Budget Message
Dear Mayor Forcier and Council Members:
Office of the City Administrator
111 Hassan Street SE
Hutchinson, MN 55350-2522
320-234-4241/Fax 320-234-4240
The following material constitutes the proposed general fund, enterprise funds, debt service
funds and the Capital Improvement Plan (CIP) for the city of Hutchinson for 2023. There have
been a couple of non -significant changes to the budgets since the truth -in -taxation hearing that
was held on December 6. One of those changes is the additional of $25,000 into the general
fund to assist in our fleet funding. Staff will be asking the council to consider this addition in the
final budget. The budget package before you for consideration represents extensive work done
by the department directors and their staff, finance director Andy Reid, myself, and the five of
you. The budget development process began in April and continued throughout the summer
into September when the preliminary budget and tax levy was adopted. The preliminary budget
was balanced and included a property tax levy increase of 5.9%. The department directors
worked on reducing that tax levy increase and we were able to reduce our health insurance
premiums during the months of September through November, and the budget was
subsequently revised and reprioritized by Andy Reid and myself in conjunction with the
Directors. The 2023 final budget and tax levy numbers being presented to you today is
balanced with a new proposed tax levy increase at 3.3%, and is the culmination of 8 months of
work by the great staff of the city of Hutchinson that included four work sessions and a public
hearing with the city council.
Our budget is driven by several different factors. The primary factor is the type and level of
services we want to provide to the community as a whole. It is within your role as the City
Council and policymakers to determine what types, and to what extent, services will be
provided to the citizens of Hutchinson regarding public safety; streets and highways; culture
and recreation; general government; water, sewer and garbage services; as well as the airport,
cemetery, library services, liquor store and Creekside. Another factor that goes into developing
a local municipal budget has to do with how the City is affected by unfunded mandates made at
the State and Federal levels of government. Some of those requirements may be good, some
may be bad, and some may be questionable in value. Still, many times local governments have
no choice but to meet these requirements and pay the associated costs. Unfunded mandates
can range from personnel practices to water and wastewater treatment standards, with the
costs of these mandates being covered by the taxpayers and/or ratepayers.
When it comes to developing a budget, it is my belief that the annual budget, which includes a
5-year capital plan, is one of the biggest, if not the biggest, policy decision a city council can
make. The policy of a budget more or less drives the "work" of the city and is one of the forces
behind achieving the City's Mission and Vision Statements and funding its six core areas of
focus. My philosophy in helping to develop this budget and future budgets is to balance the
needs of the City Council, department directors and staff with the costs associated with the
desired service levels and needs of the public, all the time being aware of the desire to keep the
tax levy low to encourage growth within the community. Ultimately, the needs versus the wants
are decided by you, the elected officials.
The development of the 2023 budget included the consideration of five long-term goals that are
an emphasis with every budget staff develops. Those goals are as follows:
1. What should current and future tax levies look like?
2. What levels of services should the City perform and provide now and in the future?
3. What is an acceptable level of debt?
4. What is our level of investment in technology and equipment, and what period of
payback is acceptable?
5. What are our future infrastructure needs (roads, utilities, buildings, etc.) and how are
we going to pay for them?
As we look to the future, it will be important for the City to continue its efforts to encourage
growth throughout all aspects of the City. Obviously, it is important to see continued growth
within the housing and commercial markets. However, the greatest impact to the City would be
to see new industrial growth, something that is a significant focus of our EDA. More property
taxpayers mean everyone pays less if the overall tax levy stays constant. More commercial and
industrial growth will lower the tax burden on all other properties due to their higher tax
classification. Therefore, budgets and levies that grow with inflation and/or new spending can
remain stable on individual taxpayers due to more taxpayers sharing the burden. Unless the tax
base grows faster than the rate of inflation plus new spending, the individual tax burden will
grow if we increase the tax rate.
Fortunately, our tax base continues to grow and our tax levy increases continue to remain
relatively low allowing us to keep our tax burden steady, if not lower than previous years. From
2021 to 2022, we saw our overall market value increase by 15.9% from $1,228,997,100 to
$1,423,986,400. This was the tenth straight year of an increase and one that was on top of a
growth of 11.2% the previous year. With the continued growth of the City in 2022, we are likely
to see an eleventh straight year of market values increasing next year.
Every area of property saw growth in 2022. Specifically, residential value went up 19.8%;
agricultural went up by 17.4%, apartments went up 5.6%; and our commercial/industrial value
increased by 4.4%. Along with our market values increasing, we have also seen our total net
tax capacity increase from $12,150,240 in 2021 to $13,437,008 in 2022, an increase of 10.6%.
The City is expecting another increase in our tax capacity in 2023, continuing to driving down
city property tax rates.
One thing to be aware of when setting tax levies in Hutchinson is that the city's value (76%)
and tax capacity (59%) is wrapped up mostly in our residential homesteaded property. As
noted previously, the more commercial and industrial property a city has; the lower the tax
burden will be on residential homes. Identifying opportunities to expand our commercial and
industrial tax base will help to ease the tax burden not only to our residential properties but to
all of our properties.
4
And with that, here in detail are more specifics regarding the 2023 municipal budget. Please
note that these figures do not include the additional $25,000 in fleet funding that will be
discussed at the meeting.
Tax Levy
The tax levy for the general fund has been set at $5,809,751, up by $204,195 compared to
2022, an increase of 3.6 percent. This will be the eighth straight increase to the general fund
tax levy. The debt service levy for 2023 has been set at $2,409,577; an increase of 2.6% and
the second straight increase to the debt service levy. The second straight year of an increase in
the debt service levy is associated with the additional debt taken out to finance the new police
station. The combination of the general fund tax levy and the debt service levy for 2023 sets
the total city portion of the tax levy at $8,219,328, a 3.3% increase from 2022. The EDA tax
levy is budgeted to increase by 18.2%, with the HRA tax levy budgeted to decrease by 23.1%.
Overall, the total tax levy impact to a Hutchinson resident has been set at $8,637,497, up by
$257,335 from 2022, an increase of 3.1%. For comparison purposes, the 2022 total tax levy
increased by 4.3% from 2021.
The main reasons behind the need for a tax levy increase is to cover costs associated with
general wage and benefit increases and the new debt associated with the police station. Some
of this is normal growth related to general wage and benefit increases, but there are some
additional costs associated with a new position being added to the general fund with the
splitting of the Director of Public Works and City Engineer positions. Labor costs are and
continue to be the biggest driver of our tax levy.
The total tax increase for next year will represent at least the tenth straight year of a municipal
tax increase, which includes our general fund and debt fund levies. Since 2013, our total
property tax levy impact has increased on an average basis by 2.3%. Even with the tax levy
increase, the proposed estimated city tax rate for next year will be at 53.49%, down from
60.41% in 2022. This will be the ninth straight year in which Hutchinson residents will see its
city tax rate decrease. A home valued at $230,000 will see an estimated city tax increase of $51
(4.6%) in 2023. For comparison purposes, a 0% tax levy increase would have resulted in a
property tax increase of fourteen ($14) dollars due to increased values.
General Fund Revenues and Expenditures
The General Fund is the primary operating fund of the City. It is used to account for all financial
resources except those required to be accounted for in another fund. The general fund consists
of the departments and functions necessary to conduct the day-to-day operations of the City.
The general fund is balanced in 2023 with revenues of $14,329,436 and expenditures of
$14,329,436. The need for additional budget reserves is not needed at this time due to a
healthy general fund balance. 2021 audit numbers showed that the City had a general fund
balance of $8,342,253, approximately 59.7% of the general fund budget for 2022. The State
Auditor has recommended to cities that their general fund balance should be in the range of
35% to 50%. The 2022 budget and year-end results are not expected to have a significant
impact on the general fund balance.
Outside of the general fund tax levy increase, there were a couple of other minor changes to
general fund revenues. Next year's general fund revenues include an additional $49,120
intergovernmental revenue associated with increased local government aid and Police/Fire
Pension aid. There is also an additional $10,000 from the local cable TV franchise fee due to
activity trending up in recent years. The revenue also includes an additional $64,163 in
engineering fees to help cover the engineering departmental expenses with the splitting of the
Public Works Director position and the City Engineer. The 2023 general fund revenues also
include an additional $61,145 from Hutchinson Utilities ($37,345 from the PILOT and $23,800
from rent associated with the Solar Array project).
The general fund also includes a $23,000 transfer from our self-insurance fund to help cover
the City's employee HSA contribution costs. This is the fifth and final year of a phase out of this
contribution. Generally speaking, property taxes account for 41% of all general fund revenues
in 2023; 20% comes from charges for service (DMV, recreation and community education fees,
etc.); 19% comes from transfers -in (HUC, Liquor, Creekside, Utilities, etc.); and 13% from
intergovernmental revenue (LGA, State Aid, etc.). The general fund revenues of $14,329,436
are a budget increase of 2.6% from 2022.
With regard to general fund expenditures, the biggest reason for the increase derives from
increases in employee salaries and benefits. Wages and benefits are expected to increase by
$228,952 in 2023. The increased costs include the addition of one full-time employee, costs for
annual performance reviews, general staffing changes, and a 4% shift upward in the pay grid.
Wages and benefits account for 68% of all general fund expenditures in 2023, by far are largest
expenditure in the general fund. In regards to our salary and benefit package, the City
continues to offer an attractive wage and benefit package to assist in the recruitment and
retention of capable and well -qualified employees.
The general fund also includes about $52,000 in additional spending for supplies, and about
$71,000 in additional expenses related to services and charges. These additional costs are a
result in some cases of inflation and in other cases of new contracts (AXON contract for body
cameras). Overall, public safety accounts for 34% of all budgeted expenditures in the general
fund in 2023; 25% goes to general government; 23% goes to culture & recreation, and 15%
goes to streets and highways. Those percentages are roughly the same as our 2022 budget.
Overall, budgeted general fund expenditures increased by 2.6% from $13,963,993 in 2022 to
$14,329,436 in 2023.
Public Enterprise Funds
Liquor Hutch, Creekside, water, wastewater, storm water, and refuse (garbage) funds all
comprise the City's public enterprise funds. Enterprise funds are used to account for operations
that are financed and operated in a manner similar to that of a private business enterprise.
Public enterprise funds should be self-sufficient with user charges (revenues) supporting the
expenditures. That is the case in Hutchinson, as our public enterprise funds remain healthy with
sufficient fund balances. It is estimated that 2022 year-end numbers will show the liquor fund
with an estimated cash balance of about $436,000; the water fund with an estimated cash
balance of about $3.9 million; the wastewater fund with an estimated cash balance of about
$7.8 million; the storm sewer fund with an estimated cash balance of about $1.3 million; the
refuse fund with an estimated cash balance of about $800,000; and the Creekside fund with an
estimated cash balance of about $2.7 million. Five of the six enterprise funds will have cash
balances well above their targeted amount, which is based on 50% of their operating costs plus
one year of debt service payments, except for the liquor fund.
One of the six enterprise funds projects sufficient revenue to cover the expenses outside of
depreciation in 2023. The other five funds have planned deficits that will be touched on shortly.
With that being said, revenues and expenses for next year are expected to remain relatively
steady in the water, wastewater and refuse funds. Garbage rates are not changing and there
will be a shift in water and wastewater rates as the City transitions into a new rate system.
Garbage rates were last increased in 2008 with water and sewer rates last being increased in
M
2011. The water and wastewater rate changes will likely result in a push for most users with
some users seeing a slight increase. Budgeted water revenues are set at $3,582,185 in 2023,
up 12.3% from 2022. Budgeted water expenses are set at $4,775,082 in 2023, down 3.3%
from 2022. Budgeted wastewater revenues are set at $4,216,000 in 2023, down 0.3% from
2022. Budgeted wastewater expenses are set at $6,396,335 in 2023, up 14.1% from 2022.
Both the water and wastewater funds are seeing an increase in costs due to capital expenses
planned for next year. Revenues for these funds have shifted due to where we are allocating
the sales tax revenue based off of projected debt needs for each of those funds. Budgeted
refuse revenues are set at $1,357,500 in 2023, up 1.4% from 2022. Budgeted refuse expenses
are set at $2,549,773 in 2023, a decrease of 1.9% from 2022. Budgeted storm water revenues
are set at $1,089,300 in 2023, up 3.2% from 2022. Budgeted storm water expenses are set at
$1,324,948 in 2023, down 26.1% from 2022. The storm water fund has budgeted for a rate
increase of about 3.0%.
After a record year in 2020 and 2021, Liquor Hutch continues to do well, but is expecting to be
back to somewhat normal, pre -pandemic levels with revenue down slightly from $7,427,000 in
2022 to $7,291,500 (-1.8%). Liquor Hutch is also projecting expenses to decrease from
$7,427,158 in 2022 to $7,365,814 (-0.8%). Creekside is projecting an increase in revenues
from $2,825,000 in 2022 to $3,068,400, an 8.6% increase. The increase is associated with
higher freight costs in 2023. Budgeted expenses are expected to increase as well from
$3,070,356 in 2022 to $3,649,506 (18.9%). The large increase in expenses is due to costs of
goods sold and a higher list of capital projects next year.
In the 2023 budget, only the Stormwater Fund is expected to see a positive cash flow. The
other five funds are projected to see a negative cash flow. The five funds experiencing a
negative cash flow were planned due to capital improvements, and already have healthy fund
balances that can take on the loss. Liquor Hutch ($550,000) and Creekside ($120,000) continue
to be a valuable asset to the community and will contribute $670,000 to the general fund in
2023. Overall, the enterprise funds are expected to transfer $820,000 to the general fund in
2023. These fund transfers continue to assist the City as a means to soften the tax burden to
the residents of Hutchinson. The City would have to raise its property taxes or lower its
expenses by about 12% to replace this revenue if these transfers did not exist. Enterprise fund
revenues account for about 5.7% of our total general fund revenue. When you include the
additional finances the City receives from Hutchinson Utilities ($1,904,536), total enterprise
money coming into the general fund is at $2,724,536. This is about 19% of our general fund
revenue.
Debt Service Funds
Debt service funds are maintained to account for the payment of principal and interest related
to debt issued by the City. Fund balances of these funds are restricted to debt service
requirements and are not available for current expenditure purposes until the debt is retired.
Debt service payments for next year will cost the City $2,808,219, a 31.2% increase from 2022
($2,140,953). Revenue collected for these payments will amount to $2,650,339 of which
$2,409,577 will come from property taxes through our debt levy. Additional revenues for debt
service payments come from fund balances, special assessments, interest, and construction
fund transfers. Debt service related to water, sewer, and storm water are not included within
the debt service funds, but are accounted for within those respective enterprise funds. The total
long-term debt of the City for 2023 is at $26,035,000, up from $22,805,000 in 2022.
2023 will be the second year of an increase in our debt levy since 2016. The reason for this
increase to account for the added debt associated with the construction of a new police station.
5
The City Council increased their debt limit to account for the new police station. Noting that,
other projects will still fall under the previous targeted debt plan.
Capital Improvement Plan
On an annual budgeting basis, the City develops a five-year Capital Improvement Plan (CIP) to
assist in the financing of major capital needs of the city. The CIP is a budget document that
realistically projects city needs, outlines means by which those needs can be met, and provides
prioritization of those needs. The capital planning process provides the City with a framework to
make decisions regarding current and future city needs considering the city's financial
capability. The CIP commits the City to a long-term capital plan that ensures that expenditures
can be made to add or replace capital items when needed, without significant fluctuations in the
property tax levy. Capital planning helps the City in limiting significant tax increases, prevents
peaks and valleys in its debt retirement program, and is an important factor in maintaining a
strong bond rating. The plan is based upon numerous long-range planning documents that are
updated regularly by several different committees and staff members.
Next year's five-year CIP is valued at $51,809,557, a slight decrease from the previous year's
$52,379,324 five-year plan. The 2023 budget portion of that plan is set at $9,616,350, a
decrease of 48.6% from our 2022-budgeted amount. The large decrease in costs is because
two large projects from 2022 (new police station and a large improvement project at the ice
arena) fell off the books. The five-year plan accounts for various investments throughout many
different levels of city government. 37% of the five-year plan will go to investments in the City's
infrastructure system (new construction, reclaims, partial reconstruction); 26% will be spent on
enterprise related activities (Creekside, Liquor Hutch, water, wastewater, etc.); 23% will be
spent on public works improvement projects like the HATS facility; with the remaining dollars
being spent on various public safety, park & recreation, and general government projects.
The largest projects slated for next year includes facility improvements to water and
wastewater facilities along with Creekside; several street and alley upgrades, new equipment
and vehicles. Funding for the five-year CIP will come from various sources. The largest revenue
source over the next five years will come from the enterprise funds for the capital needs at a
cost of 29% of the CIP, along with State and Federal Grants/Aids (24%). New borrowing
(23%), property taxes (14%), and special assessments (4%) make up the majority of the rest
of the funding.
Conclusion
As with past years, developing budgets is an on -going process of balancing costs with the
desired levels of services, needs and wants of the community, elected officials and department
directors. Having to balance the wants of the community and sometimes their unwillingness to
pay for those wants is always a challenging aspect of the city budgeting process. Budgets that
require property tax increases are always difficult for me to recommend. Excessive taxes are an
impediment to economic development and growth. Many residents will question the value of
services they do not use. The difficult part as public policy makers is helping them to
understand the overall value of those services to the community as a whole, and not as
individuals. With that being said, I do not believe the proposed tax levy is excessive and history
will show that the City has always been very conscientious when it comes to the tax burden it is
willing to put on its residents. The 3.3% tax levy increase is below the statewide preliminary tax
levy increase average of 9.1% for cities in Minnesota. I believe the city staff does a great job of
planning for the future keeping in mind the financial impact it may have on the City.
no
There are two reasons behind the proposed property tax increase for 2023. The first reason
deals with costs associated with having reliable and talented employees, and the challenges
that go with keeping them here. The second reason for the increase is due the investment we
are making into our future with the improvement of facilities and infrastructure. More
specifically, the added debt that we have taken on with the construction of a new police facility.
Because of these two reasons, I believe it is appropriate to recommend a fairly normal tax
increase of 3.3% for 2023.
While 2020 was a year of survival and perseverance as we worked our way through COVID-19,
2021 was a year of hope with building towards the future. While we haven't completely made
our way through COVID-19, I have a lot of hope for the future and I'm excited for what is in
store for us. As I look to the year ahead of us, I know this community will continue to be
resilient and I strongly believe that the year ahead of us will be better than the previous. There
is a lot to be excited about and I look forward to what the future holds.
As I look back, it continues to be an interesting time in local government. While 2021 was a
year of hope with building towards the future, 2022 was a year in which we strengthen our
position as one of the most attractive small -regional centers in outstate Minnesota. While the
"State of the City" continues to remain healthy, I believe there are challenging times ahead. As
we look to deal with high inflation, high construction costs, and delays in supplies and
materials, the City is likely to face some challenges in the next year or years. But as we have in
the past, I expect our staff and this community to find a way to weather the storm. While
things may get challenging, there is still a lot to be excited about and I look forward to what's in
store.
As I state every year, I believe it is our responsibility to create an atmosphere that is conducive
for growth throughout the entire community. The greatest relief to a City's tax burden is growth
and more importantly, growth within the commercial and industrial tax bases. As we look to
move out of 2022 into 2023, I wanted to spend a little bit of time reflecting on this past year
and some of the growth our community saw.
The City's average monthly unemployment rates continue to remain low with an average
monthly rate of 2.2% (through November) in 2022. These rates continue to remain lower than
the State (2.3%) and Federal (3.7%) percentages. Vacancy rates for our market rate rental
units also continue to be at historic lows and our median sales price of our residential homes
continue to rise, having increased from $215,400 last year to $260,000 through November of
2022, the tenth straight year of an increase. Home resales continue to remain high and home
foreclosures (lack thereof) continue to remain low. While home resales continue to remain high,
we have seen a tighter housing market, which has resulted in new homes continuing to be
constructed in town. Through September of this year, we have issued 18 building permits for
new homes, showing that we are on pace for the ninth straight year in where we have issued
20 or more new home permits. Permits issued would have been higher if not for the high cost
of supplies and labor and the difficulty in getting materials.
2022 also brought the conclusion of units 5-7 (last phase) at Century Court West Townhomes.
The completion of the townhomes moved our total to at least 292 new rental units opening up
over the past six years. Along with the rental units, we have built over 175 new homes over the
past six years and the 2020 census showed our population increased by 419 people to 14,599
(3% from 2010) with our 2021 estimate coming in at over 14,700. Along with new housing, we
saw several new businesses open up in town including Harbor Freight, Buff City Soap, and River
House Kitchen and Drinks to name a few with several others doing remodels or expansions.
7
MITGI bought the old Shopko building downtown and is in the middle of remodel and several of
our manufacturers also expanded in 2022. Along with private investments, West Elementary
and Burich Arena were also remodeled in 2022. The City has added over $275 million in new
value to the community over the past 6 years as well, and we are anticipating continued growth
in the next year.
2023 looks to be just as exciting as 2022 and should continue the recent trend of investments
within the community. 2023 should see the completion of the Civil Air Patrol facility and the Due
North Car Wash. The City is also expecting work to finish on the new police station in the spring
of 2023. We are also hoping that MITGI's remodel will be completed next year and that work
will begin on the remodeled Gold Coin and Jurgenson Hotel along with the start of construction
on the Uptown Grand apartment project. The City will continue to market the Industrial Park
and we are hoping that some of the work that is taking place with our growth area study will
spark interest in additional commercial/industrial or residential growth. We anticipate continued
growth in new home construction, but at a potential slower pace than past years due to the
challenges associated with inflation and high construction costs.
Finally, I would like to thank finance director Andy Reid and his staff within the finance
department for all of their hard work, along with the department directors and the Mayor and
City Council for your assistance in this budget planning process. Your involvement in this
process and commitment to this community is valuable to the citizens of Hutchinson. We are
blessed as a community to have those who work for us knowing the hard work they put into
their job every day. The City is well positioned to handle the challenges of today and the future.
I hope the information provided to you is useful in helping you understand the 2023 Hutchinson
Municipal Budget and I look forward to what the upcoming year has in store for all of us!
Sincerely,
Matthew Jaunich
City Administrator
N.
cR HUTCHINSON CITY COUNCIL
i :':HINsr, N Request for Board Action
A CITY ON PURPOSE.
Resolution 15534 Approving the 2023 General Fund Budget
Agenda Item:
Department: Finance
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff ❑�
New Business
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The attached budget is unchanged from what Matt Jaunich presented at the December 6th Truth in Taxation public
meeting. Some main points related to the budget are as follows:
1. A 3.6% tax levy increase is required to balance the proposed revenues and expenditures
- Down from a 7.3% Preliminary tax levy increase in September
2. Enterprise fund transfers are the same as in 2022
3. The Self Insurance fund transfer, funding employee HSA contributions was decreased $23,000
- this is the final year of the 5-year phase -out of this funding
4. Wages & Benefits increased 2.4%, or $228,952
- Health premiums decreased 11.5%
- 4% inflationary shift in the pay grid, per wage committee recommendation
- New Director of Public Works and City Engineer positions have been incorporated into the budget
6. Scaled back operations for the Event Center, reducing the tax levy by $59,000 since September
7. Vehicle & Equipment was funding unchanged at $350,000 in the TNT Budget
" An optional budget has been included to increase Vehicle funding by $25,000 for 2023
- The additional $25,000 of expense would result in a 4.1 % general fund tax levy increase
- Increasing replacement costs have placed a greater burden on our already insufficient vehicle
replacement fund. We started to increase the funding starting in 2021 and should increase by
at least $25,000-$50,000 annually until we get to a sustainable level.
"The current annual funding is $350,000 and we should be closer to $600,000 - $650,000
Also attached, please find the following:
1. Current 2023 tax levy compared to the September preliminary levy
2. Tax levy impact analysis on the median home value
3. 5-year CIP for vehicle and equipment replacement
BOARD ACTION REQUESTED:
Consider and approve one of the two General fund budget options, or other option that city council may
recommend
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
Option 2a - Same as
CITY OF HUTCHINSON
RESOLUTION NO. 16634
ADOPTING THE GENERAL FUND BUDGET FOR FISCAL YEAR 2023
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA-
THAT the annual General Fund budget of the City of Hutchinson for fiscal year 2023
which has been submitted by the City Administrator and approved by the City Council is
hereby Adopted; the total of said budget and the major division thereof being as follows:
GENERAL FUND
CURRENT REVENUES
Taxes
$ 5,821,751
Other Taxes
330,000
Licenses & Permits
442,100
Intergovernmental Revenue
1,793,941
Charges for Services
2,872,308
Fines & Forfeitures
55,000
Miscellaneous Revenues
289,800
Transfers -In
2,724,536
TOTAL REVENUES
$ 14,329,436
APPROPRIATIONS
Wages & Benefits $ 9,672,602
Supplies 986,823
Services & Charges 2,827,889
Miscellaneous Expenses 373,500
Transfers -Out 463,622
Capital Outlay 5,000
TOTAL EXPENSES $ 14,329,436
NET REVENUE / (LOSS) $ -
Adopted by the City Council this 27th day of December 2022.
ATTESTED:
Matthew Jaunich
City Administrator
Gary T. Forcier
Mayor
Option 2a - Same as presented at the TNT i
General Fund
Summary Budget
Approved
Proposed
Actual
Budget
Budget
2023 / 2022 Change
2021
2022
2023
Amount
%
REVENUES:
Taxes
5,408,925
5,617,556
5,821,751
204,195
3.6%
Other Taxes
336,865
320,000
330,000
10,000
3.1 %
Licenses & Permits
564,539
443,600
442,100
(1,500)
-0.3%
Intergovernmental Revenue
1,745,433
1,744,821
1,793,941
49,120
2.8%
Charges for Services
2,698,269
2,816,325
2,872,308
55,983
2.0%
Fines & Forfeitures
45,356
55,000
55,000
-
0.0%
Miscellaneous Revenues
223,366
256,500
289,800
33,300
13.0%
Transfers -In
2,723,192
2,710,191
2,724,536
14,345
0.5%
TOTAL REVENUES 13,745,945 13,963,993 14,329,436 365,443 2.6%
EXPENDITURES:
Wages & Benefits
9,121,528
9,443,650
9,672,602
228,952
2.4%
Supplies
790,048
934,515
986,823
52,308
5.6%
Services & Charges
2,581,030
2,756,429
2,827,889
71,460
2.6%
Miscellaneous Expenses
870,386
714,086
373,500
(340,586)
-47.7%
Transfers -Out
134,398
110,313
463,622
353,309
320.3%
Capital Outlay
71,798
5,000
5,000
-
0.0%
TOTAL EXPENDITURES
13,569,188
13,963,993
14,329,436
365,443
2.6%
NET REVENUES 176,757 - - -
Option 2b - additional $26,000 fleet funding
CITY OF HUTCHINSON
RESOLUTION NO. 16634
ADOPTING THE GENERAL FUND BUDGET FOR FISCAL YEAR 2023
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA-
THAT the annual General Fund budget of the City of Hutchinson for fiscal year 2023
which has been submitted by the City Administrator and approved by the City Council is
hereby Adopted; the total of said budget and the major division thereof being as follows:
GENERAL FUND
CURRENT REVENUES
Taxes
$ 5,846,751
Other Taxes
330,000
Licenses & Permits
442,100
Intergovernmental Revenue
1,793,941
Charges for Services
2,872,308
Fines & Forfeitures
55,000
Miscellaneous Revenues
289,800
Transfers -In
2,724,536
TOTAL REVENUES
$ 14,364,436
APPROPRIATIONS
Wages & Benefits $ 9,672,602
Supplies 986,823
Services & Charges 2,827,889
Miscellaneous Expenses 373,500
Transfers -Out 488,622
Capital Outlay 5,000
TOTAL EXPENSES $ 14,364,436
NET REVENUE / (LOSS) $ -
Adopted by the City Council this 27th day of December 2022.
ATTESTED:
Matthew Jaunich
City Administrator
Gary T. Forcier
Mayor
Option 2b - additional $25,000 fleet fundint
General Fund
Summary Budget
Approved
Proposed
Actual
Budget
Budget
2023 / 2022 Change
2021
2022
2023
Amount
%
REVENUES:
Taxes
5,408,925
5,617,556
5,846,751
229,195
4.1%
Other Taxes
336,865
320,000
330,000
10,000
3.1 %
Licenses & Permits
564,539
443,600
442,100
(1,500)
-0.3%
Intergovernmental Revenue
1,745,433
1,744,821
1,793,941
49,120
2.8%
Charges for Services
2,698,269
2,816,325
2,872,308
55,983
2.0%
Fines & Forfeitures
45,356
55,000
55,000
-
0.0%
Miscellaneous Revenues
223,366
256,500
289,800
33,300
13.0%
Transfers -In
2,723,192
2,710,191
2,724,536
14,345
0.5%
TOTAL REVENUES 13,745,945 13,963,993 14,354,436 390,443 2.8%
EXPENDITURES:
Wages & Benefits
9,121,528
9,443,650
9,672,602
228,952
2.4%
Supplies
790,048
934,515
986,823
52,308
5.6%
Services & Charges
2,581,030
2,756,429
2,827,889
71,460
2.6%
Miscellaneous Expenses
870,386
714,086
373,500
(340,586)
-47.7%
Transfers -Out
134,398
110,313
488,622
378,309
342.9%
Capital Outlay
71,798
5,000
5,000
-
0.0%
TOTAL EXPENDITURES
13,569,188
13,963,993
14,354,436
390,443
2.8%
NET REVENUES 176,757 - - -
September Preliminary Levies for 2023
General Fund
Tax Abatement
Total General Fund
Debt Funds
Total City Tax Levy
EDA Levy
H RA Levy
TOTAL TAX IMPACT
2022
2023
% Chg
$5,575,556
5,985,777
7.4%
30,000
30,000
0.0%
5,605,556
6,015,777
7.3%
2,348,252
2,409,577
2.6%
$7,953,808 $8,425,354 5.9%
218,354
258,169 18.2%
208,000
160,000 -23.1 %
$8,380,162
$8,843,523 5.5%
Proposed Final Tax Levies for 2023
General Fund
Tax Abatement
Total General Fund
Debt Funds
Total City Tax Levy
Option 2a
2022
2023
% Chg
$5,575,556
5,779,751
3.7%
30,000
30,000
0.0%
5,605,556
5,809,751
3.6%
2,348,252
2,409,577
2.6%
$7,953,808 $8,219,328 3.3%
Option 2b
2023 % Chg
5,804,751 4.1 %
30,000 0.0%
5,834,751 4.1 %
2,409,577 2.6%
$8,244,328 3.7%
EDA Levy 218,354 258,169 18.2% 258,169 18.2%
HRA Levy 208,000 160,000 -23.1 % 160,000 -23.1 %
TOTAL TAX IMPACT $8,380,162 $8,637,497 3.1% $8,662,497 3.4%
PRELIMINARY TAX IMPACT
General Fund levy.
Debt levy.
TAX CAPACITY
% Change
Tax Levy - General Fund
Tax Levy - Debt Service
TOTAL LEVY
Total Levy % Increase over 2021
Tax Rate
Change in Tax Rate
Homestead Property:
Median Home Value
Homestead Exclusion
Net Taxable Value
% Change
Estimated City Tax
Change from 2021
% Change
2023 Tax Levy Options
Proposed Proposed
Sept Prelim
Adopted 2022 Option #1 Option #2a Option #2b
Option #3
3.2% 0.0% 3.6% 4.1%
7.3%
6.7% 0.0% 2.6% 2.6%
2.6%
$ 13,166,940 $ 15,367,012 $ 15,367,012 $ 15,367,012 $ 15,367,012
16.7% 16.7% 16.7% 16.7%
5,605,556 5,605,556 5,809,751 5,834,751 6,015,777
2,348,252 2,348,252 2,409,577 2,409,577 2,409,577
$ 7,953,808 $ 7,953,808 $ 8,219,328 $ 8,244,328 $ 8,425,354
0.0% 3.3% 3.7% 5.9%
60.407%
51.759%
53.487%
53.650%
54.828%
-8.648%
-6.920%
-6.757%
-5.579%
2023 Tax Levy Options
Adopted 2022
Option #1
Option #2a
Option #2b
Option #5
$ 200,000
$ 230,000
$ 230,000
$ 230,000
$ 230,000
(19,200)
(16,500)
(16,500)
(16,500)
(16,500)
$ 180,800
$ 213,500
$ 213,500
$ 213,500
$ 213,500
18.1%
18.1%
18.1%
18.1%
1,092
1,105
1,142
1,145
1,171
$ 14
$ 51
$ 54
$ 79
1.3%
4.6%
5.0%
7.3%
City of Hutchinson, MN
CITY OF HUT C'HINSON - CAP11 AL PLAN
2023 thru 2027
PROJECTS BY FUNDING SOURCE
Source Project # Priority 2023 2024 2025 2026 2027 Total
Equinment Replacement - Heaw Fleet
Tractor, snowplow, snow blower
AIR 055
3 27,500
27,500
Fire Ladder Truck refurbishment
FD-595
3 600,000
600,000
Truck, single axe( (short) w/hooklift
STRT441
3 268,000
268,000
Truck, single axel wl dump
STRT522
3 255,000
255,000
Truck, single axlewl dump
STRT613
3 261400
261,400
Truck single axel (long) wlhooklift
STRT 781
3 274.700
274,700
Truck, single axle wl dump
STRT894
3 281,500
281,500
Equipment Replacement - Heavy Fleet
255,000 288,900 268,000 274,700 881,500
1,968,100
Total
Equiument Replacement - Small Fleet
Toolcat5600
CEMT412
3
59,500
59,500
112 ton work truck
ENGR 945
3
33,200
33,200
Fire UTV replacement
FD-513
3
11,900
11,900
New Command Vechide
FD-688
3
43,900
43,900
SUV, command vehicle
FIRE-656
3
47,300
47,300
Replace Minivan
IT-670
3
32,800
32,800
Gang mower replacement
PARK-024
2
18,300
16,300
Wide -area mower
PARK-082
2
74,700
74,700
PRCE Administrative Hybrid vehicle
PARK-127
4
30,000
30,000
Skid steer loader S250
PARK-211
4
68,500
58,500
112 Ton 4x4 Pickup wlSnowplow
PARK-221
2
45,000
45,000
Recreation Center Floor Scrubber
PARK-2404
3
17,000
17,000
Soil Top Dresser
PARK-2704
4
25,500
25,500
Wide -area Mower
PARK-302
2
71,100
71,100
Tractorwlcab
PARK-357
3
46,300
46,300
3/4 Ton 4X4 Pickup wlSnowplow
PARK-497
4
46,200
46,200
114 Ton 4X2 Pickup
PARK-528
4
27,800
27,800
Truck, 1-ton snowplow
PARK-664
4
48,600
48,600
112 Ton 4X2 Pickup
PARK-954
4
28,500
28,500
Replace Equinox
PD-205
3
35,000
35,000
Trailer, enclosed tandem
PD-361
4
11,900
11,900
Replace Equinox
PD-480
3
35,900
35,900
SW, Suburban #4
PD-SQ4
2
59,300
59,300
Squad car#1 replacement
PD-SQD1
2
56,300
56,300
Squad car#2 replacement
PD-SQD2
2
51,000
51,000
Squad car#3 replacement
PD-SQD3
2
62,300
52,300
Squad car #5replacement
PD-SQDS
2
55,000
55,000
Squad car #6 replacement
PD-SQD6
2
51,000
51,000
Squad car#7 replacement
PD-SQD7
2
52,300
52,300
Asphalt Zipper milling machine
STRT 074
3
70,800
70,800
1-ton 44 truck
STRT 170
3
73,600
73,600
Truck, tandem
STRT218
3
71,300
71,300
1-ton4x2truck with dump
STRT289
3
70,000
70,000
Source Project # Priority 2023 2024 2025 2026 2027 Total
Grasshopper mower72"
STRT626
3
19,000
19,000
1 ton truck4x4
STRT660
3
50,000
50,000
Brush Chipper
STRT688
3
80,000
80,000
112ton pickup
STRT775
3
37,400
37,400
1 ton flatbed truck
STRT835
3
70,000
70,000
1-ton flatbed truck
STRT837
3
73,600
73,600
1-ton Service truck
STRT857
3
71,800
71,800
Tandem -axle Dump Truck
STRT972
3
69,500
69,500
Equipment Replacement - Small Fleet 560,400 424,800 279,800 429,000 289,200 1,993,100
Total
GRAND TOTAL 615,400 713,700 547,800 704,600 1,169,700 3,951,200
cR HUTCHINSON CITY COUNCIL
HUTCHINSON Request for Board Action
A CITY ON PURPOSE.
Resolution 15535 Approving the 2023 General Fund & Debt Service
Agenda Item: Final Tax Levies
Department: Finance
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff ❑�
New Business
Time Requested (Minutes): 3
License Contingency No
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
In accordance with State Statute, the City must certify a final 2023 tax levy to McLeod County by
December 28th, for the General Fund and Debt Service Funds. Back in September, we certified
a preliminary levy to the County in the amount of $8,425,354, which represented a 5.9%
increase over the 2022 tax levy (7.3% General Fund, 2.6% Debt Service).
Since the preliminary levy, staff was able to reduce the general fund tax levy increase by 50%, or
$206,000.
Staff has compiled two general fund tax levies for city council consideration.
- Option 2a is what was presented at the Truth in Taxation meeting
3.6% general fund levy increase, 3.3% city levy increase, 3.1 % total levy increase
- Option 2b increases the Vehicle replacement funding by $25,000
4.1% general fund levy increase, 3.7% city levy increase, 3.4% total levy increase
The debt is unchanged from the Preliminary levy approved in September.
BOARD ACTION REQUESTED:
Approve the final tax levy for the General and Debt Service funds based on the option approved by city
council for the General fund budget.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
Option 2a - Same as TNT Budget
CITY OF HUTCHINSON
RESOLUTION NO. 15535
2023 FINAL TAX LEVY FOR CITY OF HUTCHINSON, MINNESOTA
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
THAT a final net tax levy for the City of Hutchinson for 2023 is hereby set
in the amount of: $8,219,328
The detail for this final tax levy is as follows:
Levy Amount
General Fund $ 5,779,751
Tax Abatement $ 30,000
G.O. Improvement Special Assessment Bonds
2008
86,800
2014
131,358
2015
137,364
2016
143,124
2017
161,379
2018
135,666
2019
218,955
2020
152,131
2021
128,946
2022
182,923
1,478,646
G.O. Bonds
2021 & 2022 Police Facility
890,191
2021 Tax Abatement
40,740
930,931
Total Debt Tax Levy
$ 2,409,577
TOTAL FINAL TAX LEVY
$ 8,219,328
Adopted by the City Council this 27th day of December, 2022.
Gary T. Forcier
Mayor
/_1911*311:1193
Matthew Jaunich
City Administrator
Option 2b - additional $25,000 fleet funding
CITY OF HUTCHINSON
RESOLUTION NO. 15535
2023 FINAL TAX LEVY FOR CITY OF HUTCHINSON, MINNESOTA
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
THAT a final net tax levy for the City of Hutchinson for 2023 is hereby set
in the amount of: $8,244,328
The detail for this final tax levy is as follows:
Levy Amount
General Fund $ 5,804,751
Tax Abatement $ 30,000
G.O. Improvement Special Assessment Bonds
2008
86,800
2014
131,358
2015
137,364
2016
143,124
2017
161,379
2018
135,666
2019
218,955
2020
152,131
2021
128,946
2022
182,923
1,478,646
G.O. Bonds
2021 & 2022 Police Facility
890,191
2021 Tax Abatement
40,740
930,931
Total Debt Tax Levy
$ 2,409,577
TOTAL FINAL TAX LEVY
$ 8,244,328
Adopted by the City Council this 27th day of December, 2022.
Gary T. Forcier
Mayor
/_1911*311:193
Matthew Jaunich
City Administrator
September Preliminary Levies for 2023
General Fund
Tax Abatement
Total General Fund
Debt Funds
Total City Tax Levy
EDA Levy
HRA Levy
TOTAL TAX I M PACT
2022
2023
% Chg
$5,575,556
5,985,777
7.4%
30,000
30,000
0.0%
5,605,556
6,015,777
7.3%
2,348,252
2,409,577
2.6%
$7,953,808 $8,425,354 5.9%
218,354
258,169 18.2%
208,000
160,000 -23.1 %
$8,380,162
$8,843,523 5.5%
Proposed Final Tax Levies for 2023
General Fund
Tax Abatement
Total General Fund
Debt Funds
Total City Tax Levy
Option 2a
2022
2023
% Chg
$5,575,556
5,779,751
3.7%
30,000
30,000
0.0%
5,605,556
5,809,751
3.6%
2,348,252
2,409,577
2.6%
$7,953,808 $8,219,328 3.3%
Option 2b
2023 % Chg
5,804,751 4.1 %
30,000 0.0%
5,834,751 4.1 %
2,409,577 2.6%
$8,244,328 3.7%
EDA Levy 218,354 258,169 18.2% 258,169 18.2%
HRA Levy 208,000 160,000 -23.1 % 160,000 -23.1 %
TOTAL TAX IMPACT $8,380,162 $8,637,497 3.1% $8,662,497 3.4%
cR HUTCHINSON CITY COUNCIL
HUTCHINSON Request for Board Action
A CITY ON PURPOSE.
Approving the 2023 Enterprise Fund Budgets
Agenda Item:
Department: Finance
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff ❑�
New Business
Time Requested (Minutes):
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
For council's review and approval, attached are the 2023 proposed budgets for the Enterprise
funds.
- Resolution #15528 - Liquor Fund
- Resolution #15529 - Water Fund
- Resolution #15530 - Wastewater Fund
-Resolution #15531 -Storm Water Fund
- Resolution #15532 - Refuse Fund
- Resolution #15533 - Compost Fund
Some minor changes have been made to the Water, Wastewater and Storm Water capital
expenditures since the December 6th Truth in Taxation meeting. The other funds have stayed
the same. In total, these funds will transfer $820,000 of excess profits into the General fund,
reducing our city tax levy by 15%. Without these transfers, the median home value would pay an
additional $114 in city taxes for 2023.
BOARD ACTION REQUESTED:
Approve each Budget as presented, in resolutions #15528 through #15533.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
CITY OF HUTCHINSON
RESOLUTION NO. 15528
ADOPTING 2023 LIQUOR FUND BUDGET
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
THAT the annual Liquor Fund Budget for the City of Hutchinson for the fiscal
year 2023, which has been submitted by the City Administrator and approved by the
City Council is hereby adopted. The total of said budget and major division thereof
being as follows:
REVENUES
Liquor Sales $ 2,676,000
Beer Sales 3,421,000
Wine Sales 1,002,000
Miscellaneous Sales 182,000
Other Revenues 10,500
TOTAL REVENUES $ 7,291,500
EXPENSES
Cost of Sales
$ 5,504,000
Wages & Benefits
904,864
Supplies
25,500
Services & Charges
298,750
Miscellaneous Expenses
6,700
Depreciation Expense
61,000
Capital Outlay
15,000
Transfers -Out
550,000
TOTAL EXPENSES
$ 7,365,814
NET REVENUE / (LOSS) $ (74,314)
Adopted by the City Council this 27th day of December 2022.
Gary T. Forcier
Mayor
ATTESTED:
Matt Jaunich
City Administrator
REVENUES:
Sales -
Liquor
Sales -
Beer
Sales -
Wine
Sales -
Other
Total Sales
Other Revenues
TOTAL REVENUES
Gross Margin %
EXPENDITURES:
Cost of Sales
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Depreciation Expense
Capital Outlay
Transfers -Out
Liquor Fund
Summary Budget
Approved Proposed
Actual Budget Budget
2021 2022 2023
2023 / 2022 Change
Amount %
2,632,530
2,652,000
2,676,000
24,000 0.9%
3,459,348
3,520,000
3,421,000
(99,000) -2.8%
1,063,103
1,072,000
1,002,000
(70,000) -6.5%
179,906
180,000
182,000
2,000 1.1 %
7,334,887 7,424,000 7,281,000 (143,000) -1.9%
9,160 3,000 10,500 7,500 250.0%
7,344,048 7,427,000 7,291,500 (135,500) -1.8%
23.3% 23.7% 24.4%
5,623,422
5,666,000
5,504,000
(162,000)
-2.9%
748,263
812,108
904,864
92,756
11.4%
28,090
21,100
25,500
4,400
20.9%
278,600
285,550
298,750
13,200
4.6%
5,879
6,700
6,700
-
0.0%
76,737
70,700
61,000
(9,700)
-13.7%
-
15,000
15,000
-
0.0%
550,000
550,000
550,000
-
0.0%
TOTAL EXPENDITURES 7,310,989 7,427,168 7,365,814 (61,344) -0.8%
NET REVENUE / (LOSS) 33,058 (158) (74,314) (74,156)
Reconciliation to Cash Flow:
Net Revenue (74,314)
Add non -cash activity (Depreciation) 61,000
Net Change in Cash for Year (13,314)
Estimated Cash Balance 436,000 422,686
CITY OF HUTCHINSON
RESOLUTION NO. 15529
ADOPTING 2023 WATER BUDGET
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
THAT the annual Water Fund Budget for the City of Hutchinson for the fiscal
year 2023, which has been submitted by the City Administrator and approved by the
City Council is hereby adopted. The total of said budget and major division thereof
being as follows:
REVENUES
Water Revenues $ 2,454,000
Local Sales Tax Revenue 1,012,000
Charges for Services 71,685
Other Revenue 44,500
TOTAL REVENUES $ 3,582,185
EXPENSES
Wages & Benefits
$ 579,848
Supplies
185,800
Services & Charges
561,885
Miscellaneous Expenses
13,500
Depreciation
1,090,000
Debt Service
1,371,173
Capital Outlay
902,876
Transfers -Out
70,000
TOTAL EXPENSES
$ 4,775,082
NET REVENUE / (LOSS) $(1,192,897)
Adopted by the City Council this 27th day of December 2022.
Gary T. Forcier
Mayor
ATTESTED:
Matthew Jaunich
City Administrator
Water Fund
Summary Budget
Approved
Proposed
Actual
Budget
Budget
2023 / 2022 Change
2021
2022
2023
Amount
%
REVENUES:
Local Sales Tax
875,964
812,000
1,012,000
200,000
24.6%
Water Sales
2,546,667
2,264,950
2,454,000
189,050
8.3%
Charges for Services
69,968
71,685
71,685
-
0.0%
Miscellaneous Revenue
45,979
42,000
44,500
21500
6.0%
Fund Balance
57,153
-
-
-
0.0%
TOTAL REVENUES
3,595,731
3,190,635
3,582,185
391,550
12.3%
EXPENDITURES:
Wages & Benefits
530,459
579,241
579,848
607
0.1 %
Supplies
154,362
168,150
185,800
17,650
10.5%
Services & Charges
511,319
507,750
561,885
54,135
10.7%
Miscellaneous Expenses
11,388
13,500
13,500
-
0.0%
Depreciation
1,139,426
1,132,000
1,090,000
(42,000)
-3.7%
Debt Service
183,131
1,465,433
1,371,173
(94,260)
-6.4%
Capital Outlay
-
998,450
902,876
(95,574)
-9.6%
Transfers -Out
119,092
70,000
70,000
-
0.0%
TOTAL EXPENDITURES
2,649,177
4,934,524
4,775,082
(159,442) -3.2%
NET REVENUES
946,554
(1,743,889)
(1,192,897)
550,992
Reconciliation to Cash Flow:
Net Revenue (1,192,897)
Add non -cash activity (Depreciation) 1,090,000
Net Change in Cash for Year (102,897)
Estimated Cash Balance 3,920,000 3,817,103
CITY OF HUTCHINSON
RESOLUTION NO. 15530
ADOPTING 2023 WASTEWATER BUDGET
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
THAT the annual Wastewater Fund Budget for the City of Hutchinson for the
fiscal year 2023, which has been submitted by the City Administrator and approved
by the City Council is hereby adopted. The total of said budget and major division
thereof being as follows:
REVENUES
Sewer Revenues
$ 3,299,000
Local Option Sales Tax Revenue
810,000
Licenses & Permits
6,000
Charges for Services
7,500
Other Revenue
93,500
TOTAL REVENUES
$ 4,216,000
EXPENSES
Wages & Benefits $ 813,235
Supplies 279,200
Services & Charges 855,920
Miscellaneous Expenses 36,000
Depreciation 1,136,000
Debt Service 1,557,895
Capital Outlay 1,638,085
Transfers -Out 80,000
TOTAL EXPENSES $ 6,396,335
NET REVENUE / (LOSS) $(2,180,335)
Adopted by the City Council this 27th day of December 2022.
Gary T. Forcier
Mayor
ATTESTED:
Matthew Jaunich
City Administrator
REVENUES:
Local Sales Tax
Sewer Sales
Licenses & Permits
Charges for Services
Miscellaneous Revenue
Fund Balance
TOTAL REVENUES
EXPENDITURES:
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Depreciation
Debt Service
Capital Outlay
Transfers -Out
TOTAL EXPENDITURES
NET REVENUES
Reconciliation to Cash Flow
Wastewater Fund
Summary Budget
Approved Proposed
Actual Budget Budget
2021 2022 2023
2023 / 2022 Change
Amount %
875,964
812,000
810,000
(2,000)
-0.2%
3,257,355
3,314,300
3,299,000
(15,300)
-0.5%
6,000
6,500
6,000
(500)
-7.7%
4,700
7,500
7,500
-
0.0%
49,569
90,000
93,500
3,500
3.9%
41,913
-
-
-
0.0%
4,235,500 4,230,300 4,216,000 (14,300) -0.3%
762,961
776,934
813,235
36,301
4.7%
204,244
246,500
279,200
32,700
13.3%
787,143
769,000
855,920
86,920
11.3%
26,714
40,000
36,000
(4,000)
-10.0%
1,108,375
1,182,000
1,136,000
(46,000)
-3.9%
242,016
1,526,311
1,557,895
31,584
2.1 %
-
984,400
1,638,085
653,685
66.4%
170,686
80,000
80,000
-
0.0%
3,302,139
5,605,145
6,396,335
791,190
14.1 %
933,361 (1,374,845) (2,180,335) (805,490)
Net Revenue (2,180,335)
Add non -cash activity (Depreciation) 1,136,000
Add Storm Water interfund loan payment (street sweeper) 36,999
Net Change in Cash for Year (1,007,336)
Estimated Cash Balance 7,826,000 6,818,664
CITY OF HUTCHINSON
RESOLUTION NO. 15531
ADOPTING 2023 STORM WATER UTILITY BUDGET
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
THAT the annual Storm Water Utility Budget for the City of Hutchinson for the fiscal
year 2023, which has been submitted by the City Administrator and approved by the
City Council is hereby adopted. The total of said budget and major division thereof
being as follows:
REVENUES
Storm Water Revenues
Licenses & Permits
Other Revenue
TOTAL REVENUES
EXPENSES
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Depreciation
Debt Service
Capital Outlay
Transfers -Out
TOTAL EXPENSES
NET REVENUE / (LOSS)
Adopted by the City Council this 27th day of December 2022.
ATTESTED:
Matthew Jaunich
City Administrator
$1,068,500
5,500
15,300
$1,089,300
$ 308,906
53,625
208,535
10,000
275,000
221,589
247,293
$1,324,948
$ (235,648)
Gary T. Forcier
Mayor
REVENUES:
Storm Water Sales
Licenses & Permits
Miscellaneous Revenue
Fund Balance
TOTAL REVENUES
EXPENDITURES:
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Depreciation
Debt Service
Capital Outlay
Transfers -Out
TOTAL EXPENDITURES
NET REVENUES
Storm Water Fund
Summary Budget
Approved Proposed
Actual Budget Budget
2021 2022 2023
2023 / 2022 Change
Amount %
1,006,145
1,036,500
1,068,500
32,000
3.1 %
4,940
4,800
5,500
700
14.6%
15,622
14,350
15,300
950
6.6%
70,025
-
-
-
0.0%
1,096,732
1,065,660
1,089,300
33,660
3.2%
276,064
290,084
308,906
18,822
6.5%
31,494
51,325
53,625
2,300
4.5%
112,212
212,150
208,535
(3,615)
-1.7%
13,024
18,000
10,000
(8,000)
-44.4%
229,362
254,000
275,000
21,000
8.3%
49,189
221,589
221,589
-
0.0%
-
746,600
247,293
(499,307)
-66.9%
158,600
-
-
-
0.0%
869,944
1,793,748
1,324,948
(468,800)
-26.1%
226,789 (738,098) (235,648) 502,450
Reconciliation to Cash Flow:
Net Revenue
Add non -cash activity (Depreciation)
Net Change in Cash for Year
(235,648)
275,000
39,362
Estimated Cash Balance 804,000 843,362
CITY OF HUTCHINSON
RESOLUTION NO. 15532
ADOPTING 2023 REFUSE FUND BUDGET
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
THAT the annual Refuse Fund Budget for the City of Hutchinson for the fiscal
year 2023, which has been submitted by the City Administrator and approved by the
City Council is hereby adopted. The total of said budget and major division thereof
being as follows:
REVENUES
Refuse Services $ 1,330,000
Intergovernmental Revenue 12,500
Other Revenue 15,000
TOTAL REVENUES $ 1,357,500
EXPENSES
Wages & Benefits $ 343,101
Supplies 62,850
Services & Charges 897,590
Miscellaneous Expenses 750
Depreciation 172,000
Capital Outlay 1,018,482
Debt Service -
Transfer -Out: Tree Disease Infestation & Mitigation funding 55,000
TOTAL EXPENSES $ 2,549,773
NET REVENUE / (LOSS) $ (1,192,273)
Adopted by the City Council this 27th day of December 2022.
Gary T. Forcier
Mayor
ATTESTED:
Matthew Jaunich
City Administrator
REVENUES:
Refuse Sales
Intergovernmental Revenue
Miscellaneous Revenues
TOTAL REVENUES
EXPENDITURES:
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Depreciation
Capital Outlay
Transfers -Out
Summary Budget
Refuse Fund
Approved
Proposed
Actual
Budget
Budget
2023 / 2022 Change
2021
2022
2023
Amount %
1,304,109
1,311,800
1,330,000
18,200 1.4%
12,888
12,500
12,500
- 0.0%
2,972
15,000
15,000
- 0.0%
1,319,969 1,339,300 1,357,500 18,200 1.4%
198,598
259,732
343,101
83,369
32.1%
31,950
59,900
62,850
2,950
4.9%
830,143
848,350
897,590
49,240
5.8%
331
1,000
750
(250)
-25.0%
134,067
169,000
172,000
3,000
1.8%
-
1,207,500
1,018,482
(189,018)
-15.7%
55,000
55,000
55,000
-
0.0%
TOTAL EXPENDITURES
1,250,088
2,600,482
2,549,773
(50,709) -1.9%
NET REVENUE
69,881
(1,261,182)
(1,192,273)
68,909
Reconciliation to Cash Flow:
Net Revenue
Add non -cash activity (Depreciation)
Net Change in Cash for Year
(1,192,273)
172,000
(1,020,273)
Estimated Cash Balance 1,856,000 835,727
CITY OF HUTCHINSON
RESOLUTION NO. 15533
ADOPTING 2023 COMPOST FUND BUDGET
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
THAT the annual Compost Fund Budget for the City of Hutchinson for the fiscal
year 2023, which has been submitted by the City Administrator and approved by the
City Council is hereby adopted. The total of said budget and major division thereof
being as follows:
REVENUES
Sales $ 2,939,400
Other Charges & Fees 97,000
Other Revenue 32,000
TOTAL REVENUES $ 3,068,400
EXPENSES
Cost of Goods Sold
$ 2,158,000
Inventory Adjustment
(657,750)
Wages & Benefits
838,147
Supplies
162,500
Services & Charges
304,980
Miscellaneous Expenses
11,000
Depreciation
290,000
Capital Outlay
349,652
Debt Service
73,808
Transfers -Out
120,000
TOTAL EXPENSES
$ 3,650,337
NET REVENUE / (LOSS) $ (581,937)
Adopted by the City Council this 27th day of December 2022.
Gary T. Forcier
Mayor
ATTESTED:
Matthew Jaunich
City Administrator
Summary Budget
Compost Fund
Approved Proposed
Actual Budget Budget
2021 2022 2023
2023 / 2022 Change
Amount %
REVENUES:
Sales - Bagged Product 2,353,284 2,101,500 2,445,750 344,250 16.4%
Sales - Bulk Product 186,826 355,500 182,750 (172,750) 48.6%
Sales - Other 251,752 249,000 310,900 61,900 24.9%
Total Sales
2,791,862
2,706,000
2,939,400 233,400 8.6%
Charges for Services
72,000
87,000
97,000 10,000 11.5%
Miscellaneous Revenue
(1,906)
32,000
32,000 - 0.0%
TOTAL REVENUES
2,861,956
2,825,000
3,068,400 243,400 8.6%
EXPENDITURES:
Cost of Goods Sold
1,766,548
1,837,000
2,158,000
321,000
17.5%
Inventory Adjustment
(642,763)
(712,500)
(657,750)
54,750
-7.7%
Wages & Benefits
747,417
808,198
838,147
29,949
3.7%
Supplies
143,296
129,000
162,500
33,500
26.0%
Services & Charges
300,649
304,850
304,980
130
0.0%
Miscellaneous Expenses
21,302
11,000
11,000
-
0.0%
Depreciation
279,651
278,000
290,000
12,000
4.3%
Capital Outlay
-
221,000
349,652
128,652
58.2%
Debt Service
10,211
73,808
73,808
0
0.0%
Transfers -Out
110,000
120,000
120,000
-
0.0%
TOTAL EXPENDITURES
2,736,311
3,070,356
3,650,337
579,981
18.9%
NET REVENUE 125,645 (245,366) (581,937) (336,581)
Reconciliation to Cash Flow
Net Revenue (581,937)
Add non -cash activity (Depreciation) 290,000
Add administrative markup for Cost of Goods Sold (10%) 65,775
Net Change in Cash for Year (226,162)
Estimated Cash Balance 2,688,000 2,461,838
c� HUTCHINSON CITY COUNCIL
' 11HINS141A Request for Board Action
A CITY ON PURPOSE.
Resolution 15536 Approving the 2023 HRA Final Tax Levy
Agenda Item:
Department: Finance
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff ❑�
New Business
Time Requested (Minutes): 1
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
In accordance with State Statute 469.033, the City must certify a final 2023 tax levy to the
County by December 28th. This tax levy will fund the 2023 operations of the HRA. The HRA's
2023 statutory levy limit is $263,437, however the HRA Board is requesting a lower levy of
$160,000. This levy represents a 23.1 % decrease from the 2022 levy of $208,000. The
decrease is due to personnel changes over the past year, where positions that previously were
held by long-term employees at the higher end of their pay grades were replaced by personnel at
the lower end of their pay grades.
The HRA's statutory levy limit is based on .0185% of the City's 2022 Estimated Market Value of
$1,423,986,400.
BOARD ACTION REQUESTED:
Approve the 2023 HRA Final Tax Levy of $160,000 as recommended by the HRA Board.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
CITY OF HUTCHINSON
RESOLUTION NO. 15536
CITY OF HUTCHINSON, MINNESOTA
SETTING 2023 FINAL TAX LEVY
FOR
SPECIAL TAXING DISTRICT
HUTCHINSON REDEVELOPMENT AUTHORITY
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
WHEREAS the City of Hutchinson hereby establishes a special taxing district
for the purpose of Hutchinson Housing Redevelopment Authority (Hutchinson HRA)
and the financing of such district as authorized under Minn. Statute 469.033.
WHEREAS the Minn Stat 469.033 authorizes a levy to be set for an HRA special tax of
.000185 times estimated market value of the city.
AND for 2023 the authorization yields: .000 185 x $1,423,986,400 = $263,437;
The HRA Board requests for 2023 a levy of $160,000.
THAT the City of Hutchinson hereby establishes a final tax levy for the
above named special taxing district of:
$ 160,000
Adopted by the City Council this 27th day of December, 2022.
Gary T. Forcier
Mayor
ATTESTED:
Matthew Jaunich
City Administrator
cR HUTCHINSON CITY COUNCIL
HUTCHINSON Request for Board Action
A CITY ON PURPOSE.
Resolution 15537 Approving the 2023 EDA Final Tax Levy
Agenda Item:
Department: Finance
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff ❑�
New Business
Time Requested (Minutes): 1
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
In accordance with State Statute 469.107, the City must certify a final 2023 tax levy to the
County by December 28th. This tax levy will fund the 2023 operations of the EDA. The EDA's
2023 statutory levy limit is $258,169, which is the levy amount the EDA Board is requesting.
This levy represents an 18.2% increase over the 2022 levy of $218,354.
The EDA's statutory levy limit is based on .01813% of the City's 2022 Estimated Market Value of
$1,423,986,400.
BOARD ACTION REQUESTED:
Approve the 2023 EDA Final Tax Levy of $258,169, as recommended by the EDA Board.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
CITY OF HUTCHINSON
RESOLUTION NO. 15537
CITY OF HUTCHINSON, MINNESOTA
SETTING 2023 FINAL TAX LEVY
FOR
SPECIAL TAXING DISTRICT
HUTCHINSON ECONOMIC DEVELOPMENT AUTHORITY
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA
WHEREAS the City of Hutchinson hereby establishes a special taxing district
for the purpose of Hutchinson Economic Development Authority (Hutchinson EDA)
and the financing of such district as authorized under Minn. Statute 469.107.
WHEREAS the Minn Stat 469.107 authorizes a levy to be set for an EDA special tax of
.0001813 times estimated market value of the city.
AND for 2023 the authorization yields- .0001813 x $1,423,986,400 = $258,169-1
The EDA Board requests for 2023 a levy of $258,169.
THAT the City of Hutchinson hereby establishes a final tax levy for the
above named special taxing district of:
$258,169
Adopted by the City Council this 27th day of December, 2022.
Gary T. Forcier
Mayor
ATTESTED:
Matthew Jaunich
City Administrator
c� HUTCHINSON CITY COUNCIL
Request for Board Action
A CP a ON PURPOSE.
5-Year Capital Improvement Plan (CIP)
Agenda Item:
Department: Finance
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff ❑�
New Business
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
Attached is the 5-year (2023 — 2027) Capital Improvement Plan (CIP). The 5-year CIP forecasts
the City's capital expenditures over the next 5 years, by Department and potential Funding
Sources. The CIP serves as a guide for Council and Management and does not give
authorization for the projects until formally approved based on the City's purchasing policy. The
entire document, consisting of several reports and details of each project, will be placed on the
City website upon approval by City Council.
The 5-year CIP plan is a fluid document that is updated on an annual basis. Some projects get
pushed back to later years, some projects drop off and some projects move up in years
depending on priorities. Ultimately, the funding is a major factor in determining which projects get
completed. In addition, the Facilities Committee, Fleet Committee and Resource Allocation
Committee are instrumental in continually shaping the priorities of several major components
within the 5-year CIP.
If there are any questions ahead of time or if the council would like to see further details
regarding the 5-year CIP plan, please let me know.
BOARD ACTION REQUESTED:
Approve and adopt the five-year capital improvement plan.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
u
H TCHINSON
A CITY ON PURPOSE.
5-YEAR CAPITAL IMPROVEMENT PLAN
2023 - 2027
Proposed - 12/27/2022
CITY OF HUTCHINSON - CAPITAL PLAN
Administrative Summary
VISIONS AND GOALS
The City plans for capital improvements by preparing a five-year Capital Improvement Plan
(CIP). The CIP serves as a valuable planning tool for the preservation and expansion of the
City's capital assets, including facilities, infrastructure, amenities and equipment. It provides
details of proposed improvements by department and year, along with the estimated cost and
funding sources for the improvements. It is based upon several long-range planning documents
that are updated regularly as identified by the Facilities Committee, Fleet Committee, Resource
Allocation Committee, City staff and council members.
The CIP identifies projects that will support existing and projected needs in the following areas:
transportation, public safety, parks & recreation, general government and enterprise fund
operations. The CIP establishes a development program, which is used to maximize outside
revenue sources and effectively plans for the growth and maintenance of the City's infrastructure.
POLICIES
Criteria identified for inclusion of capital items in the CIP plan are as follows:
1) Capital Item must have a minimum cost of $10,000
2) Project must define year proposed
3) Funding source should be identified
4) Detail should include annual operating costs or savings for proposed capital item
5) Department priority should be established
6) Must have a useful life of three years or greater
The plan encompasses projects using the following priority levels:
Priority 1: (Urgent) Projects currently underway or those that are considered essential to the
departments of City operations, and should not be delayed beyond the year requested. Failure to fund
these projects will seriously jeopardize City's ability to provide service to the residents and/or expose the
City to a potential liability and negative legal exposure.
Priority 2: (Very Important) Projects that are needed by a department or the City to improve or
maintain their operations, and to delay would cause deterioration or further deterioration of their current
operation and/or level of service to the residents of the City. These should not be delayed beyond the
year requested.
Priority 3: (Important) Projects that are needed by a department or the City to improve or maintain
their operations, and should be done as soon as funds can reasonably be made available.
Priority 4: (Less Important) Projects, which are desirable, but needing further study.
Priority 5: (Future Consideration) Projects, which sometime in the future will need to be fimded to
maintain operations, safety or infrastructure desired within the community.
CIP PROCESS
1. Finance distributes CIP forms and the prior year's data to departments for updating.
2. Departments add, remove and update CIP data from the prior year's report.
3. Finance updates the CIP database with recommendations made by the department
directors and the Fleet, Facility and Resource Allocation committees.
4. Initial draft is reviewed with City Administrator and Department directors; corrections or
adjustments are made.
5. Preliminary CIP plan is submitted to City council by August 1 st.
6. Final CIP plan is reviewed and adopted by City council by year-end.
PROCESS CALENDAR
April/May - Departments work on updating the CIP. Any new capital items should be
requested at this time. The Facilities, Fleet and Resource Allocation Committees begin meeting
to review and prioritize potential improvement projects.
June/July - Departments return updated CIP items. The Facilities and Fleet Committees submit
a recommended five year plan to the City Administrator. An initial CIP draft is reviewed with
Department directors and corrections or adjustments are made. Current year CIP items are
incorporated into the early stages of the budgeting process during this time frame.
August 1 st — Per Section 7.05 of the Hutchinson City Charter, the City Administrator shall
submit to the council a preliminary CIP Plan no later than August 1 of each year.
October/November — Departments and Finance make final adjustments to the preliminary CIP.
December 31 st - Final CIP plan is adopted by City council prior to year-end.
CAPITAL PROJECT APPROVAL
The CIP is a planning document comprised of potential capital improvement projects known at
a certain point in time. Projects are not approved simply by being included in the CIP as
funding sources or City priorities may change. All capital projects are subject to the City's
purchasing policy, requiring quotes/bids and approvals commensurate to the total cost.
City of Hutchinson, MN
CITY OF HUTCHINSON - CAPITAL PLAN
2023 duu 2027
DEPARTMENT SUMMARY
Department 2023 2024 2025 2026 2027 Total
Airport
20,000
625,000
1,500,000
2,145,000
Cemetery
10,000
10,000
10,000
69,500
10,000
109,500
City Center
105,000
190,000
350,000
50,000
50,000
745,000
Civic Arena
61,000
185,000
246,000
Compost
340,000
420,000
125,000
197,000
50,000
1,132,000
Engineering
33,200
33,200
Fire
43,900
103,800
222,300
600,000
970,000
Information Technology
258,996
46,805
32,800
338,601
Infrastructure Improvements
4,432,522
3,724,560
3,860,390
3,160,491
3,939,361
19,117,324
Library
100,000
100,000
Parks
154,692
256,380
2,917,600
713,200
282,400
4,324,272
Police
102,000
116,500
149,300
92,200
460,000
Public Works
7,100,000
65,000
50,000
100,000
7,315,000
Refuse
1,009,500
250,000
105,000
1,364,500
Senior Dining
9,500
9,500
Storm Water
125,000
130,000
778,000
380,000
536,000
1,949,000
Streets
594,500
423,500
415,200
312,100
382,300
2,127,600
Wastewater
1,550,640
1,462,200
971,700
1,081,170
928,750
5,994,460
Water
808,600
760,000
1,000,000
360,000
400,000
3,328,600
TOTAL 9,616,350
15,866,440
10,539,695
8,383,261
7,403,811
51,809,557
City of Hutchinson, MN
CITY OF HUTCHINSON - CAPITAL PLAN
2023 duu 2027
PROJECTS BY DEPARTMENT
Department Project # Priority 2023 2024 2025 2026 2027 Total
Airport
Drainage Improvements
AIR-2301
3
20,000
20,000
Airfield Lighting Systems Convert to LED
AIR-2401
2
350,000
350,000
8-Unit T-Hangar
AIR-2601
3
1,500,000
1,500,000
Tractor, snowplow, snow blower
AIR 055
3
275,000
275,000
Airport Total
20,000
625,000
1,500,000
2,145,000
Cemetery
Fencing & Roadways
CEM 01
3
10,000
10,000
10,000
10,000
10,000
50,000
Toolcat 5600
CEMT 412
3
59,500
59,500
Cemetery Total
10,000
10,000
10,000
69,500
10,000
109,500
City Center
City Center Roof improvements
C.CTR-2302
2
140,000
140,000
Facility Plan - Miscellaneous Maintenance
C.CTR-FAC
3
50,000
50,000
50,000
50,000
50,000
250,000
Parking Lot improvements
C.CTR-2301
3
55,000
55,000
City Center Security Remodel
C.CTR-1701
3
300,000
300,000
City Center Total
105,000
190,000
350,000
50,000
50,000
745,000
Civic Arena
Drainage improvements
CA-2301
2
50,000
50,000
West Rink Lighting Replacement
CA-2302
3
11,000
11,000
Replace East dasher boards
CA-1505
3
185,000
185,000
Civic Arena Total
61,000
185,000
246,000
Com ost
Office Expansion
COMP-2201
2
150,000
150,000
Site Improv - Finished Bulk Storage Area
COMP-2402
3
150,000
150,000
Forklift
COMP-2701
3
50,000
50,000
Wheel Loader
COMP-2601
2
197,000
197,000
Stacking Conveyor
COMP-2502
3
100,000
100,000
Flatbed Trailer (Used)
COMP-2501
4
25,000
25,000
Cold Storage Expansion
COMP-2401
3
75,000
75,000
Bagging Line Software Update
COMP-2303
3
45,000
45,000
Portable Shrink Wrapping Machine
COMP-2302
4
45,000
45,000
New Wheel Loader
COMP-2301
3
180,000
180,000
Semi Tractor
COMP-2202
3
75,000
75,000
Loading Dock Improvements
COMP-2203
2
40,000
40,000
Compost Total
340,000
420,000
125,000
197,000
50,000
1,132,000
En ineerin
112 ton work truck
ENGR 945
3
33,200
33,200
Department Project # Priority 2023 2024 2025 2026 2027 Total
Engineering Total
Fi rc
Fire Ladder Truck refurbishment
FD-595
SUV, command vehicle
FIRE-856
New Command Vechicle
FD-688
Portable Radio Replacements
FD-2601
Fire Hall Roof improvements
FD-2302
Exhaust Capture System
FD-1801
Fire UTV replacement
FD-513
Fire Total
Information Technologv
Core Servers Upgrade
IT-2501
Replace Minivan
IT-670
Video Surveillance Project
IT-2303
Council chambers projector
IT-2302
Large UPS for Server Room
IT-2301
Information Technology Total
Infrastructure Improvements
Trunk Hwy 15 trail improvements
TRAIL 22-1
Pauls Rd NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-4
Hilltop Dr NE (Michigan St NE - Genes Dr NE)
Reclaim 25-1
Hassan St (5th Ave S-1 st Ave N)
Reclaim 24-1
Lindy Ln NE (Pauls Rd NE to Genes Dr NE)
Reclaim 25-2
Garden Rd NE (Dead end - Hwy 7E)
Reclaim 25-3
Michigan St SE/NE (5th Ave -Hwy 7)
Partial 25-1
Mark Dr NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-5
Morningside Dr NE (Hilltop Dr NE - Dead end)
Reclaim 25-6
Genes Dr NE (Lindy Ln NE - Dead end)
Reclaim 25-7
Larson St SW (Roberts -Lewis)
Reclaim 26-5
Bluff St/Northwoods trail
Trail26-1
Elks Dr SE (Sherwood St SE - Orchard Ave SE)
Reclaim 23-4
Orchard Ave SE (Bradford St SE - Elks Dr SE)
Reclaim 26-4
5th Ave SE (Bridge - Hwy 22)
Overlay 25-1
Sherwood St SE (Summerset Ln SE - Century Ave SE)
Reclaim 23-3
Harrington St SW (Linden-Juul Rd SW)
Partial 27-2
Bridge Deck Repairs & Sealing
Maint 23-1
Century Ave SW (Dale -Boston)
Overlay 22-2
Edmonton Ave SE (Hwy 15-Sherwood St SE)
Overlay 26-2
Blackbird/Blackhawk/Bluejay
Overlay 26-3
Dale St SW (SGR-Roberts)
Partial 23-1
Roberts Rd SW (Alan -Dale)
Partial 23-2
Washington Ave W (Lynn -Main)
Partial 24-1
School Rd SW (SGR SW - Roberts Rd SW)
Partial 27-1
Bradford St SE (#1324 - Century Ave SE)
Reclaim 23-2
School Rd NW (Golf Course -North High)
Overlay 22-1
Infrastructure Improvements Total
Libra
Library Decor/Fixture Upgrade & Carpet Replace LIB-1901
33,200
33,200
3
600,000
600,000
3
47,300
47,300
3 43,900
43,900
2
120,000
120,000
2 80,000
80,000
3
55,000
55,000
3 23,800
23,800
43,900 103,800
222,300
600,000
970,000
3
46,805
46,805
3
32,800
32,800
3 222,774
222,774
2 10,000
10,000
3 26,222
26,222
258,996
46,805
32,800
338,601
3 200,000
200,000
3
130,970
130,970
3
573,720
573,720
3
1,150,401
1,150,401
3
386,401
386,401
3
309,845
309,845
3
2,656,320
21656,320
3
122,430
122,430
3
92,470
92,470
3
40,320
40,320
3
685,270
685,270
4
490,050
490,050
3
219,240
219,240
3
411,110
411,110
3
573,533
573,533
3
414,183
414,183
3
1,170,622
1,170, 622
3 300,000
300,000
3 425,198
425,198
3
712,292
712,292
3
265,437
265,437
3 2,108,031
2,108,031
3 1,399,293
1,399,293
3
1,481,149
1,481,149
3
2,083,469
2,083,469
3
461,530
461,530
3
254,040
254,040
4,432,522
3,724,560
3,860,390
3,160,491
3,939,361
19,117,324
3 100,000 100,000
Department Project # Priority 2023 2024 2025 2026 2027 Total
Library Total 100,000 100,000
Parks
Parks Cold Storage
PARK-2702
3
150,000
150,000
Veteran's Memorial Field Restroom Facilities
PARK-2506
5
25,000
25,000
Shady Ridge Park- Playground Replacement
PARK-2601
3
20,000
20,000
Masonic West River Campground Expansion
PARK-2602
5
500,000
500,000
Roberts Park Concession/Restroom Building
PARK-2603
3
50,000
50,000
Driftriders Playground Install
PARK-2701
3
30,000
30,000
Parks HVAC
PARK-2703
3
10,000
10,000
Soil Top Dresser
PARK-2704
4
25,500
25,500
Wide -area Mower
PARK-302
2
71,100
71,100
Tractorw/cab
PARK-357
3
46,300
46,300
Park Signage
PARK-2505
3
50,000
50,000
1/4 Ton 4X2 Pickup
PARK-528
4
27,800
27,800
Main Street Holiday Decoration Replacements
PARK-2304
1
19,692
19,692
Truck, 14on snowplow
PARK-664
4
48,600
48,600
3/4 Ton 4X4 Pickup w/Snowplow
PARK-497
4
46,200
46,200
Roberts & VMF Parks Lighting Improvements
PARK-2504
3
650,000
650,000
Tartan Park- Playground Replacements
PARK-2503
3
40,000
40,000
South Park - Playground Replacement
PARK-2502
3
20,000
20,000
Northwoods Park - Playground Replacement
PARK-2501
3
40,000
40,000
Veteran's Memorial Field Perimeter Fencing
PARK-2405
3
57,080
57,080
Masonic West River - Playground Replacement
PARK-2401
3
65,000
65,000
Oddfellows Park- Playground Replacement
PARK-2301
3
60,000
60,000
112 Ton 44 Pickup w/Snowplow
PARK-221
2
45,000
45,000
Splash Pad
PARK-2203
3
2,000,000
2,000,000
Skid steer loader S250
PARK-211
4
58,500
58,500
PRCE Administrative Hybrid vehicle
PARK-127
4
30,000
30,000
Wide -area mower
PARK-082
2
74,700
74,700
Gang mower replacement
PARK-024
2
18,300
18,300
112 Ton 4X2 Pickup
PARK-954
4
28,500
28,500
Recreation Center Floor Scrubber
PARK-2404
3
17,000
17,000
Parks Total
154,692
256,380
2,917,600
713,200
282,400
4,324,272
Police
Squad car #7 replacement
PD-SQD7
2
52,300
52,300
Trailer, enclosed tandem
PD-361
4
11,900
11,900
Replace Equinox
PD-480
3
35,900
35,900
SUV, Suburban #4
PD-SQ4
2
59,300
59,300
Squad car #1 replacement
PD-SQD1
2
56,300
56,300
Squad car #2 replacement
PD-SQD2
2
51,000
51,000
Squad car #3 replacement
PD-SQD3
2
52,300
52,300
Squad car #5 replacement
PD-SQD5
2
55,000
55,000
Squad car #6 replacement
PD-SQD6
2
51,000
51,000
Replace Equinox
PD-205
3
35,000
35,000
Police Total
102,000
116,500
149,300
92,200
460,000
Public Works
HATS Mechanics Shop Improvements HATS-2401 2 500,000
HATS Storage building, fuel site HATS-08 3 6,600,000
Wash bay improvements HATS-05 3
Stormceptor for outdoor wash area HATS-02 3 65,000
Pond cleaning/excavation HATS-04 3 50,000
500,000
6,600,000
100,000 100,000
65,000
50,000
Department Project # Priority 2023 2024
2025
2026
2027
Total
Public Works Total 7,100,000
65,000
50,000
100,000
7,315,000
Refuse
Site Preparation - New SSOM Operations
REFS-2105
3
297,500
297,500
Curing Pad Expansion
REFS-2106
2
210,000
210,000
Skidsteer Loader
REFS-2602
3
65,000
65,000
Half -ton pickup
REFS-2601
3
40,000
40,000
Office Expansion
REFS-2202
2
150,000
150,000
Roll -oft Truck Chassis
REFS-2002
1
130,000
130,000
Tractor (TMR mixer power unit)
REFS-2103
2
150,000
150,000
TMR Mixer
REFS-2102
2
120,000
120,000
Bi-Fold Door Replacement
REFS-2003
2
42,000
42,000
Scale Improvements & Relocation
REFS-2301
3
100,000
100,000
Airlift Separator
REFS-2104
3
60,000
60,000
Refuse Total
1,009,500
250,000
105,000
1,364,500
Senior Dining
Senior Dining Roof improvements
Sr Dine-2302
2
9,500
9,500
Senior Dining Total
9,500
9,500
Storm Water
Leaf vacuum (2)
STINT LEAF
3
228,000
228,000
Street Infrastructure Improvements
STWT-INF
3
50,000
50,000
50,000
50,000
50,000
250,000
Ridgewater College Drainage
STWT-2702
3
60,000
60,000
Combine Mec/Vac Sweepers to 1 Regen Air
STWT-2701
2
275,000
275,000
Clifton Heights Drainage Improvements
STWT-2602
3
300,000
300,000
Bradford St SE drainage improvement
STWT 2601
3
121,000
121,000
Michigan St NE area drainage improvement
STWT 2501
3
500,000
500,000
Pond SW2 improvements
STWT 2401
3
80,000
80,000
8th Ave NW drainage improvement
STWT 2301
3
75,000
75,000
Pond Cleanout
STWT-2603
3
30,000
30,000
60,000
Storm Water Total
125,000
130,000
778,000
380,000
536,000
1,949,000
Streets
1 ton truck 4x4
STRT 660
3
50,000
50,000
Truck, single axle w/ dump
STRT 894
3
281,500
281,500
1-ton Service truck
STRT 857
3
71,800
71,800
1-ton flatbed truck
STRT 837
3
73,600
73,600
1 ton flathed truck
STRT 835
3
70,000
70,000
Brush Chipper
STRT 688
3
80,000
80,000
112 ton pickup
STRT 775
3
37,400
37,400
Tandem -axle Dump Truck
STRT 972
3
69,500
69,500
Truck, single axle w/ dump
STRT 613
3
261,400
261,400
Truck, single axel w/ dump
STRT 522
3
255,000
255,000
Truck, single axel (short) w/hooklift
STRT 441
3
268,000
268,000
1-ton 42 truck with dump
STRT 289
3
70,000
70,000
Truck, tandem
STRT 218
3
71,300
71,300
1-ton 4x4 truck
STRT170
3
73,600
73,600
Asphalt Zipper milling machine
STRT 074
3
70,800
70,800
Water St Garage Siding/Soffits
STRT 003
4
30,000
30,000
Grasshopper mower 72"
STRT 626
3
19,000
19,000
Truck single axel (long) w/hooklift
STRT 781
3
274,700
274,700
Department Project # Priority 2023 2024 2025 2026 2027 Total
Streets Total
Wastewater
112 Ton 4x4 work truck
WWTF 760
Litt Station repairs & upgrades (Elementary)
WWTF 25-5
Litt Station repairs & upgrades (Stoney Pt)
WWTF 26-1
Clarifier rake mechanism & drive replacement
WWTF 26-3
WWTF buildings 50,60 & 80 roof replace
WWTF 26-4
WWTF Bldgs 10,20,90&100 Roof Replacement
WWTF 26-5
Litt Station Repairs & Upgrades
WWTF 27-1
EQ basin liner replacement
WWTF 25-4
Vactor Truck & Jetting Trailer
WWTF 648
Replace Ox Ditch RAS Pumps
WWTF 25-6
Aerzen Scour Air Blower Overhaul/Efficiency
WWTF-23-7
112 Ton Work Truck
WWTF 27-2
Digester aeration & mixation rehab
WWTF 22-2
Clarifier dome replacement
WWTF 26-2
Litt Station repairs/upgrade (Campbell LS)
WWTF 25-3
Biosolids Spreader
WWTF 218
HATS LS MCC Building
WWTF 22-5
Belt press thickener 2 overhaul/replace
WWTF 23-1
Receiving/Bulk water station
WWTF 23-2
MBR fine bubble diffuser system replacement
WWTF 23-5
Building #100 roof replacement
WWTF 23-6
Building #90 Boiler/Controls replacement
WWTF 24-1
Litt Station repairs/upgrades (Our Saviors LS)
WWTF 24-2
MBR perm pump #1 replacement
WWTF 24-3
Belt press thickener 1 overhaul/replace
WWTF 25-1
Collection system infrastructure
WWTF 21-25
Wastewater Total
Water
112 ton work truck
WATR 072
Well 4 Rehabilitation
WATR 26-1
Mower replacement
WATR 793
112 ton work truck
WATR 484
Well 5 Recovery Treatment
WATR 27-2
Well 6 Recovery Treatment
WATR 27-1
Scissors Litt
WATR 26-3
Well 6 Rehabilitation
WATR 26-2
Membrane replacement
WATR 25-1
Well 7 Recovery Treatment
WATR 24-2
Well 7 Rehabilitation
WATR 24-1
Sensus Analytics & Customer Portal
WATR 23-2
Bulk Fill station
WATR 23-1
Water Meter Replacement
WATR 22-24
Street Infrastructure Improvements
WATR-INF
Concentrate piping replacement
WATR 22-5
Water Total
GRAND TOTAL
594,500 423,500 415,200 312,100 382,300 2,127,600
3 50,000
50,000
2
85,000
85,000
2
105,000
105,000
2
339,500
339,500
679,000
2
140,100
140,100
2
140,100
140,100
2
85,000
85,000
2
70,000
70,000
2
600,000
600,000
2
150,000
150,000
2 110,000
110,000
2
60,000
60,000
1 606,120
606,120
3
342,250
342,250
684,500
2
70,000
70,000
2 65,000
65,000
2
100,000
100,000
1 509,520
509,520
1
240,000
240,000
2
110,200
110,200
2
52,320
52,320
2
150,000
150,000
2 114,000
114,000
2
90,000
90,000
1
424,600
424,600
2 96,000
102,000
102,000
102,000
102,000
504,000
1,550,640
1,462,200
971,700
1,081,170
928,750
5,994,460
3
60,000
60,000
2
65,000
65,000
3 20,000
20,000
3 45,000
45,000
2
50,000
50,000
2
50,000
50,000
3
30,000
30,000
2
65,000
65,000
3
400,000
400,000
3 50,000
50,000
3 65,000
65,000
4 28,600
28,600
3
100,000
100,000
3 400,000
400,000
400,000
1,200,000
3 200,000
200,000
200,000 200,000
200,000
1,000,000
2
100,000
100,000
808,600 760,000 1,000,000 360,000 400,000 3,328,600
9,616,350 15,866,440 10,539,695 8,383,261 7,403,811 51,809,557
City of Hutchinson, MN
CITY OF HUTCHINSON - CAPITAL PLAN
2023 duu 2027
FUNDING SOURCE SUMMARY
Source 2023 2024 2025 2026 2027 Total
Airport Construction Fund
35,000
150,000
185,000
Capital Projects Fund
20,000
10,000
10,000
130,000
10,000
180,000
Capital Projects Fund - Facilities Plan
166,000
564,500
350,000
155,000
240,000
1,475,500
Capital Projects Fund- Playground Plan
60,000
65,000
60,000
60,000
30,000
275,000
Community Improvement Fund
19,692
42,080
75,000
500,000
636,772
Compost Fund
349,883
420,000
126,151
197,000
50,000
1,143,034
Cooperative Agreement - EDA/HRA
781
1,343
2,124
Cooperative Agreement - HUC
6,472
661,701
668,173
Donations
15,000
15,000
Equipment Replacement - Heavy Fleet
255,000
288,900
268,000
274,700
881,500
1,968,100
Equipment Replacement - Small Fleet
560,400
424,800
279,800
429,900
288,200
1,983,100
G.O.ImprovBonds - Debt Tax Levy
2,489,948
2,333,362
2,406,299
2,392,628
2,216,843
11,839,080
General Fund
20,728
26,279
47,007
Grants -Federal
147,297
562,500
1,350,000
2,059,797
Grants - State
14,000
6,600,000
6,614,000
HATS Fund (City, County, State)
500,000
65,000
50,000
100,000
715,000
Liquor Fund
893
1,535
Z428
Municipal State Aid
1,200,000
750,000
700,000
250,000
1,000,000
3,900,000
Refuse Fund
1,018,713
250,000
105,000
1,373,713
Rural Fire Dept Fund
11,900
11,900
Special Assessments
497,989
466,674
481,261
380,518
443,369
2,269,811
Storm Water Utility Fund
247,293
217,262
914,416
448,673
675,575
2,503,219
Unfunded Projects
2,000,000
2,000,000
Wastewater Fund
1,637,424
1,505,831
1,042,401
1,115,506
998,537
6,299,699
Water Fund
903,837
803,631
1,070,509
394,336
469,787
3,642,100
GRAND TOTAL
9,616,350
15,866,440
10,539,695
8,383,261
7,403,811
51,809,557
City of Hutchinson, MN
CITY OF HUTCHINSON - CAPITAL PLAN
2023 duu 2027
PROJECTS BY FUNDING SOURCE
Source Project # Priority 2023 2024 2025 2026 2027 Total
Airport Construction Fund
Airfield Lighting Systems Convert to LED
AIR-2401
2
35,000
35,000
8-Unit T-Hangar
AIR-2601
3
150,000
150,000
Airport Construction Fund Total
35,000
150,000
185,000
Capital Projects Fund
Fencing & Roadways
CEM 01
3
10,000
10,000
10,000
10,000
10,000
50,000
Portable Radio Replacements
FD-2601
2
120,000
120,000
Council chambers projector
IT-2302
2
10,000
10,000
Capital Projects Fund Total
20,000
10,000
10,000
130,000
10,000
180,000
Capital Projects Fund - Facilities Plan
City Center Security Remodel
C.CTR-1701
3
300,000
300,000
Parking Lot improvements
C.CTR-2301
3
55,000
55,000
City Center Roof improvements
C.CTR-2302
2
140,000
140,000
Facility Plan - Miscellaneous Maintenance
C.CTR-FAC
3
50,000
50,000
50,000
50,000
50,000
250,000
Replace East dasher boards
CA-1505
3
185,000
185,000
Drainage improvements
CA-2301
2
50,000
50,000
West Rink Lighting Replacement
CA-2302
3
11,000
11,000
Exhaust Capture System
FD-1801
3
55,000
55,000
Fire Hall Roof improvements
FD-2302
2
80,000
80,000
Library Decor/Fixture Upgrade & Carpet Replace
LIB-1901
3
100,000
100,000
Roberts Park Concession/Restroom Building
PARK-2603
3
50,000
50,000
Parks Cold Storage
PARK-2702
3
150,000
150,000
Parks HVAC
PARK-2703
3
10,000
10,000
Senior Dining Roof improvements
Sr Dine-2302
2
9,500
9,500
Water St Garage Siding/Soffits
STRT 003
4
30,000
30,000
Capital Projects Fund - Facilities Plan
166,000
564,500
350,000
155,000
240,000
1,475,500
Total
(Capital Projects Fund - Playground PI
Oddfellows Park - Playground Replacement
PARK-2301
3 60,000
60,000
Masonic West River - Playground Replacement
PARK-2401
3 65,000
65,000
Northwoods Park- Playground Replacement
PARK-2501
3 40,000
40,000
South Park- Playground Replacement
PARK-2502
3 20,000
20,000
Tartan Park- Playground Replacements
PARK-2503
3 40,000
40,000
Shady Ridge Park- Playground Replacement
PARK-2601
3 20,000
20,000
Driftriders Playground Install
PARK-2701
3 30,000
30,000
Capital Projects Fund - Playground Plan
60,000 65,000 60,000 60,000 30,000
275,000
Total
Source Project # Priority 2023 2024 2025 2026 2027 Total
Community Improvement Fund
Main Street Holiday Decoration Replacements
PARK-2304
Veteran's Memorial Field Perimeter Fencing
PARK-2405
Park Signage
PARK-2505
Veteran's Memorial Field Restroom Facilities
PARK-2506
Masonic West River Campground Expansion
PARK-2602
Community Improvement Fund Total
Compost Fund
Office Expansion
COMP-2201
Semi Tractor
COMP-2202
Loading Dock Improvements
COMP-2203
New Wheel Loader
COMP-2301
Portable Shrink Wrapping Machine
COMP-2302
Bagging Line Software Update
COMP-2303
Cold Storage Expansion
COMP-2401
Site Improv - Finished Bulk Storage Area
COMP-2402
Flatbed Trailer (Used)
COMP-2501
Stacking Conveyor
COMP-2502
Wheel Loader
COMP-2601
Forklift
COMP-2701
Large UPS for Server Room
IT-2301
Video Surveillance Project
IT-2303
Core Servers Upgrade
IT-2501
Compost Fund Total
Cooperative Agreement - EDA/HRA
Large UPS for Server Room
IT-2301
Core Servers Upgrade
IT-2501
Cooperative Agreement - EDA/HRA
Total
(Cooperative Agreement - HUC
Large UPS for Server Room
IT-2301
Core Servers Upgrade
IT-2501
Roberts & VMF Parks Lighting Improvements
PARK-2504
Cooperative Agreement - HUC Total
Donations
Veteran's Memorial Field Perimeter Fencing
PARK-2405
Donations Total
Equipment Replacement - Heavy Fleetj
Tractor, snowplow, snow blower
AIR 055
Fire Ladder Truck refurbishment
FD-595
Truck, single axel (short) w/hooklift
STRT 441
Truck, single axel w/ dump
STRT 522
1 19,692
19,692
3
42,080
42, 080
3
50,000
50,000
5
25,000
25,000
5
500,000
500,000
19,692
42,080
75,000
500,000
636,772
2
150,000
150,000
3 75,000
75,000
2 40,000
40,000
3 180,000
180,000
4
45,000
45,000
3 45,000
45,000
3
75,000
75,000
3
150,000
150,000
4
25,000
25,000
3
100,000
100,000
2
197,000
197,000
3
50,000 50,000
3 670
670
3 9,213
9,213
3
1,151
1,151
349,883
420,000
126,151
197,000
50,000 1,143,034
3 781 781
3 1,343 1,343
781 1,343 2,124
3 6,472 6,472
3 11,701 11,701
3 650,000 650,000
6,472 661,701 668,173
3 15,000 15,000
15,000 15,000
3 27,500 27,500
3 600,000 600,000
3 268,000 268,000
3 255,000 255,000
Source Project # Priority 2023 2024 2025 2026 2027 Total
Truck, single axle w/ dump
STRT 613
3
261,400
261,400
Truck single axel (long) w/hooklift
STRT 781
3
274,700
274,700
Truck, single axle w/ dump
STRT 894
3
281,500
281,500
Equipment Replacement - Heavy Fleet
255,000
288,900
268,000
274,700
881,500
1,968,100
Total
Equipment Replacement - Small Fleet
Tool cat5600
CEMT412
3
59,500
59,500
112 ton work truck
ENGR 945
3
33,200
33,200
Fire UTV replacement
FD-513
3
11,900
11,900
New Command Vechicle
FD-688
3
43,900
43,900
SUV, command vehicle
FIRE-856
3
47,300
47,300
Replace Minivan
IT-670
3
32,800
32,800
Gang mower replacement
PARK-024
2
18,300
18,300
Wide -area mower
PARK-082
2
74,700
74,700
PRCE Administrative Hybrid vehicle
PARK-127
4
30,000
30,000
Skid steer loader S250
PARK-211
4
58,500
58,500
112 Ton 4x4 Pickup w/Snowplow
PARK-221
2
45,000
45,000
Recreation Center Floor Scrubber
PARK-2404
3
17,000
17,000
Soil Top Dresser
PARK-2704
4
25,500
25,500
Wide -area Mower
PARK-302
2
71,100
71,100
Tractor w/cab
PARK-357
3
46,300
46,300
3/4 Ton U4 Pickup w/Snowplow
PARK-497
4
46,200
46,200
1/4 Ton 4X2 Pickup
PARK-528
4
27,800
27,800
Truck, 1-ton snowplow
PARK-664
4
48,600
48,600
112 Ton 4X2 Pickup
PARK-954
4
28,500
28,500
Replace Equinox
PD-205
3
35,000
35,000
Trailer, enclosed tandem
PD-361
4
11,900
11,900
Replace Equinox
PD-480
3
35,900
35,900
SUV, Suburban #4
PD-SQ4
2
59,300
59,300
Squad car#1 replacement
PD-SQD1
2
56,300
56,300
Squad car#2 replacement
PD-SQD2
2
51,000
51,000
Squad car #3 replacement
PD-SQD3
2
52,300
52,300
Squad car#5 replacement
PD-SQD5
2
55,000
55,000
Squad car#6 replacement
PD-SQD6
2
51,000
51,000
Squad car #7 replacement
PD-SQD7
2
52,300
52,300
Asphalt Zipper milling machine
STRT 074
3
70,800
70,800
14on 44 truck
STRT 170
3
73,600
73,600
Truck, tandem
STRT 218
3
71,300
71,300
14on 42 truck with dump
STRT 289
3
70,000
70,000
Grasshopper mower 72"
STRT 626
3
19,000
19,000
1 ton truck 44
STRT 660
3
50,000
50,000
Brush Chipper
STRT 688
3
80,000
80,000
112 ton pickup
STRT 775
3
37,400
37,400
1 ton flatbed truck
STRT 835
3
70,000
70,000
14on flatbed truck
STRT 837
3
73,600
73,600
14on Service truck
STRT 857
3
71,800
71,800
Tandem -axle Dump Truck
STRT 972
3
69,500
69,500
Equipment Replacement - Small Fleet
560,400
424,800
279,800
429,900
288,200
1,983,100
Total
G.O. Improv Bonds - Debt Tax Levy
School Rd NW (Golf Course -North High)
Oveday 22-1
3
128,367
128,367
Source Project # Priority 2023 2024 2025 2026 2027 Total
Century Ave SW (Dale -Boston)
Oveday 22-2
3
187,665
187,665
5th Ave SE (Bridge - Hwy 22)
Oveday 25-1
3
352,944
352,944
Edmonton Ave SE (Hwy 15-Sherwood St SE)
Oveday 26-2
3
385,243
385,243
Blackbird/Blackhawk/Bluejay
Oveday26-3
3
221,197
221,197
Dale St SW (SGR-Roberts)
Partial23-1
3
1,348,882
1,348,882
Roberts Rd SW (Alan -Dale)
Partial23-2
3
953,401
953,401
Washington Ave W (Lynn -Main)
Partial24-1
3
736,017
736,017
Michigan St SEINE (5th Ave -Hwy 7)
Partial25-1
3
1,483,179
1,483,179
School Rd SW (SGR SW - Roberts Rd SW)
Partial27-1
3
788,098
788,098
Harrington St SW (Linden-Juul Rd SW)
Partial27-2
3
903,371
903,371
Bradford St SE (#1324 - Century Ave SE)
Reclaim 23-2
3
359,179
359,179
Sherwood St SE (Summerset Ln SE - Century Ave SE)
Reclaim 23-3
3
322,332
322,332
Elks Dr SE (Sherwood St SE - Orchard Ave SE)
Reclaim 23-4
3
168,083
168,083
Hassan St (5th Ave S-1 st Ave N)
Reclaim 24-1
3
894,837
894,837
Hilltop Dr NE (Michigan St NE - Genes Dr NE)
Reclaim 25-1
3
439,852
439,852
Lindy Ln NE (Pauls Rd NE to Genes Dr NE)
Reclaim 25-2
3
300,711
300,711
Garden Rd NE (Dead end - Hwy 7E)
Reclaim 25-3
3
239,034
239,034
Pauls Rd NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-4
3
100,411
100,411
Mark Dr NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-5
3
93,862
93,862
Morningside Dr NE (Hilltop Dr NE - Dead end)
Reclaim 25-6
3
70,894
70,894
Genes Dr NE (Lindy Ln NE - Dead end)
Reclaim 25-7
3
30,912
30,912
Orchard Ave SE (Bradford St SE - Elks Dr SE)
Reclaim 26-4
3
315,185
315,185
Larson St SW (Roberts -Lewis)
Reclaim 26-5
3
525,374
525,374
Bluff St/Northwoods trail
Trail 26-1
4
490,050
490,050
G.O. Improv Bonds - Debt Tax Levy
2,489,948 2,333,362
2,406,299 2,392,628
2,216,843
11,839,080
Total
General Fund
Drainage Improvements
AIR-2301
3
6,000
6,000
Large UPS for Server Room
IT-2301
3
14,728
14,728
Core Servers Upgrade
IT-2501
3
26,279
26,279
General Fund Total
20,728
26,279
47,007
(Grants - Federal
Tractor, snowplow, snow blower
AIR 055
3
247,500
247,500
Airfield Lighting Systems Convert to LED
AIR-2401
2
315,000
315,000
8-Unit T-Hangar
AIR-2601
3
1,350,000
1,350, 000
Video Surveillance Project
IT-2303
3
147,297
147,297
Grants - Federal Total
147,297 562,500
1,350,000
2,059,797
(Grants - State
Drainage Improvements
AIR-2301
3
14,000
14,000
HATS Storage building, fuel site
HATS-08
3
6,600,000
6,600,000
Grants - State Total
14,000 6,600,000
6,614,000
(HATS Fund (City, County, State)
Stormceptor for outdoor wash area
HATS-02
3
65,000
65,000
Pond cleaning/excavation
HATS-04
3
50,000
50,000
Wash bay improvements
HATS-05
3
100,000
100,000
HATS Mechanics Shop Improvements
HATS-2401
2
500,000
500,000
Source Project # Priority 2023 2024 2025 2026 2027 Total
HATS Fund (City, County, State) Total 500,000 65,000 50,000 100,000 715,000
Liquor Fund
Large UPS for Server Room
IT-2301
3
893
893
Core Servers Upgrade
IT-2501
3
1,535
1,535
Liquor Fund Total
893
1,535
2,428
Municipal State Aid
Bridge Deck Repairs & Sealing
Maint 23-1
3
300,000
300,000
School Rd NW (Golf Course -North High)
Overlay 22-1
3
100,000
100,000
Century Ave SW (Dale -Boston)
Overlay 22-2
3
200,000
200,000
5th Ave SE (Bridge - Hwy 22)
Overlay 25-1
3
150,000
150,000
Edmonton Ave SE (Hwy 15-Sherwood St SE)
Overlay 26-2
3
250,000
250,000
Dale St SW (SGR-Roberts)
Partial23-1
3
350,000
350,000
Roberts Rd SW (Alan -Dale)
Partial23-2
3
150,000
150,000
Washington Ave W (Lynn -Main)
Partial24-1
3
500,000
500,000
Michigan St SE/NE (5th Ave -Hwy 7)
Partial25-1
3
700,000
700,000
School Rd SW (SGR SW - Roberts Rd SW)
Partial27-1
3
1,000,000
1,000,000
Trunk Hwy 15 trail improvements
TRAIL 22-1
3
200,000
200,000
Municipal State Aid Total
1,200,000
750,000
700,000 250,000 1,000,000
3,900,000
Refuse Fund
Video Surveillance Project
IT-2303
3
9,213
9,213
Roll -off Truck Chassis
REFS-2002
1
130,000
130,000
Bi-Fold Door Replacement
REFS-2003
2
42,000
42,000
TMR Moser
REFS-2102
2
120,000
120,000
Tractor (TMR mixer power unit)
REFS-2103
2
150,000
150,000
Airlift Separator
REFS-2104
3
60,000
60,000
Site Preparation - New SSOM Operations
REFS-2105
3
297,500
297,500
Curing Pad Expansion
REFS-2106
2
210,000
210,000
Office Expansion
REFS-2202
2
150,000
150,000
Scale Improvements & Relocation
REFS-2301
3
100,000
100,000
Half -ton pickup
REFS-2601
3
40,000
40,000
Skidsteer Loader
REFS-2602
3
65,000
65,000
Refuse Fund Total
1,018,713
250,000
105,000
1,373,713
Rural Fire Dept Fund
Fire UTV replacement
FD-513
3
11,900
11,900
Rural Fire Dept Fund Total
11,900
11,900
Special Assessments
School Rd NW (Golf Course -North High)
Overlay 22-1
3
25,673
25,673
Century Ave SW (Dale -Boston)
Overlay 22-2
3
37,533
37,533
5th Ave SE (Bridge - Hwy 22)
Overlay 25-1
3
70,589
70,589
Edmonton Ave SE (Hwy 15-Sherwood St SE)
Overlay 26-2
3
77,049
77,049
Blackbird/Blackhawk/Bluejay
Overlay26-3
3
44,240
44,240
Dale St SW (SGR-Roberts)
Partial 23-1
3
269,776
269,776
Roberts Rd SW (Alan -Dale)
Partial23-2
3
190,680
190,680
Source Project # Priority 2023 2024 2025 2026 2027 Total
Washington Ave W (Lynn -Main)
Partial 24-1
Michigan St SE/NE (5th Ave -Hwy 7)
Partial25-1
School Rd SW (SGR SW - Roberts Rd SW)
Partial27-1
Harrington St SW (Linden-Juul Rd SW)
Partial 27-2
Bradford St SE (#1324 - Century Ave SE)
Reclaim 23-2
Sherwood St SE (Summerset Ln SE - Century Ave SE)
Reclaim 23-3
Elks Dr SE (Sherwood St SE - Orchard Ave SE)
Reclaim 23-4
Hassan St (5th Ave S-1 st Ave N)
Reclaim 24-1
Hilltop Dr NE (Michigan St NE - Genes Dr NE)
Reclaim 25-1
Lindy Ln NE (Pauls Rd NE to Genes Dr NE)
Reclaim 25-2
Garden Rd NE (Dead end - Hwy 7E)
Reclaim 25-3
Pauls Rd NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-4
Mark Dr NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-5
Morningside Dr NE (Hilltop Dr NE - Dead end)
Reclaim 25-6
Genes Dr NE (Lindy Ln NE - Dead end)
Reclaim 25-7
Orchard Ave SE (Bradford St SE - Elks Dr SE)
Reclaim 26-4
Larson St SW (Roberts -Lewis)
Reclaim 26-5
Special Assessments Total
Storm Water Utility Fund
Dale St SW (SGR-Roberts)
Partial23-1
Roberts Rd SW (Alan -Dale)
Partial23-2
Washington Ave W (Lynn -Main)
Partial24-1
Michigan St SE/NE (5th Ave -Hwy 7)
Partial25-1
School Rd SW (SGR SW - Roberts Rd SW)
Partial27-1
Harrington St SW (Linden-Juul Rd SW)
Partial27-2
Bradford St SE (#1324 - Century Ave SE)
Reclaim 23-2
Sherwood St SE (Summerset Ln SE - Century Ave SE)
Reclaim 23-3
Elks Dr SE (Sherwood St SE - Orchard Ave SE)
Reclaim 23-4
Hassan St (5th Ave S-1 st Ave N)
Reclaim 24-1
Hilltop Dr NE (Michigan St NE - Genes Dr NE)
Reclaim 25-1
Lindy Ln NE (Pauls Rd NE to Genes Dr NE)
Reclaim 25-2
Garden Rd NE (Dead end - Hwy 7E)
Reclaim 25-3
Pauls Rd NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-4
Mark Dr NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-5
Morningside Dr NE (Hilltop Dr NE - Dead end)
Reclaim 25-6
Genes Dr NE (Lindy Ln NE - Dead end)
Reclaim 25-7
Orchard Ave SE (Bradford St SE - Elks Dr SE)
Reclaim 26-4
Larson St SW (Roberts -Lewis)
Reclaim 26-5
8th Ave NW drainage improvement
STWT 2301
Pond SW2 improvements
STWT 2401
Michigan St NE area drainage improvement
STWT 2501
Bradford St SE drainage improvement
STWT 2601
Leaf vacuum (2)
STINT LEAF
Clifton Heights Drainage Improvements
STWT-2602
Pond Cleanout
STWT-2603
Combine MecNac Sweepers to 1 Regen Air
STWT-2701
Ridgewater College Drainage
STWT-2702
Street Infrastructure Improvements
STINT-INF
Storm Water Utility Fund Total
Unfunded Projects
3 147,204
147,204
3 296,636
296,636
3
157,620
157,620
3
180,674
180,674
3
71,836
71,836
3
64,467
64,467
3 33,617
33,617
3 178,968
178,968
3 87,971
87,971
3
60,142
60,142
3
47,807
47,807
3
20,082
20,082
3
18,773
18,773
3
14,179
14,179
3
6,183
6,183
3 63,037
63,037
3
105,075
105,075
497,989 466,674 481,261
380,518
443,369
2,269,811
3 69,687
69,687
3 52,606
52,606
3
48,964
48,964
3
88,253
88,253
3
68,875
68,875
3
43,289
43,289
3
15,257
15,257
3
13,692
13,692
3
8,770
8,770
3
38,298
38,298
3
22,949
22,949
3
12,774
12,774
3
11,502
11,502
3
5,239
5,239
3
4,897
4,897
3
3,699
3,699
3
1,613
1,613
3
16,444
16,444
3
27,411
27,411
3 75,000
75,000
3
80,000
80,000
3
500,000
500,000
3
121,000
121,000
3
228,000
228,000
3
300,000
300,000
3
30,000
30,000
60,000
2
275,000
275,000
3
60,000
60,000
3 50,000
50,000
50,000
50,000
50,000
250,000
247,293
217,262
914,416
448,673
675,575
2,503,219
Source Project # Priority 2023 2024 2025 2026 2027 Total
Splash Pad
PARK-2203
Unfunded Projects Total
Wastewater Fund
Large UPS for Server Room
IT-2301
Video Surveillance Project
IT-2303
Core Servers Upgrade
IT-2501
Dale St SW (SGR-Roberts)
Partial23-1
Roberts Rd SW (Alan -Dale)
Partial23-2
Washington Ave W (Lynn -Main)
Partial24-1
Michigan St SE/NE (5th Ave -Hwy 7)
Partial25-1
School Rd SW (SGR SW - Roberts Rd SW)
Partial27-1
Harrington St SW (Linden-Juul Rd SW)
Partial27-2
Bradford St SE (#1324 - Century Ave SE)
Reclaim 23-2
Sherwood St SE (Summerset Ln SE - Century Ave SE)
Reclaim 23-3
Elks Dr SE (Sherwood St SE - Orchard Ave SE)
Reclaim 23-4
Hassan St (5th Ave S-1 st Ave N)
Reclaim 24-1
Hilltop Dr NE (Michigan St NE - Genes Dr NE)
Reclaim 25-1
Lindy Ln NE (Pauls Rd NE to Genes Dr NE)
Reclaim 25-2
Garden Rd NE (Dead end - Hwy 7E)
Reclaim 25-3
Pauls Rd NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-4
Mark Dr NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-5
Morningside Dr NE (Hilltop Dr NE - Dead end)
Reclaim 25-6
Genes Dr NE (Lindy Ln NE - Dead end)
Reclaim 25-7
Orchard Ave SE (Bradford St SE - Elks Dr SE)
Reclaim 26-4
Larson St SW (Roberts -Lewis)
Reclaim 26-5
Collection system infrastructure
WWTF 21-25
Biosolids Spreader
WWTF 218
Digester aeration & mixation rehab
WWTF 22-2
HATS LS MCC Building
WWTF 22-5
Belt press thickener 2 overhaul/replace
WWTF 23-1
Receiving/Bulk water station
WWTF 23-2
MBR fine bubble diffuser system replacement
WWTF 23-5
Building #100 roof replacement
WWTF 23-6
Building #90 Boiler/Controls replacement
WWTF 24-1
Lift Station repairs/upgrades (Our Saviors LS)
WWTF 24-2
MBR perm pump #1 replacement
WWTF 24-3
Belt press thickener 1 overhaul/replace
WWTF 25-1
Lift Station repairs/upgrade (Campbell LS)
WWTF 25-3
EQ basin liner replacement
WWTF 25-4
Lift Station repairs & upgrades (Elementary)
WWTF 25-5
Replace Ox Ditch RAS Pumps
WWTF 25-6
Lift Station repairs & upgrades (Stoney Pt)
WWTF 26-1
Clarifier dome replacement
WWTF 26-2
Clarifier rake mechanism & drive replacement
WWTF 26-3
WWTF buildings 50,60 & 80 roof replace
WWTF 26-4
WWTF Bldgs 10,20,90&100 Roof Replacement
WWTF 26-5
Lift Station Repairs & Upgrades
WWTF 27-1
112 Ton Work Truck
WWTF 27-2
Vactor Truck & Jetting Trailer
WWTF 648
112 Ton 4x4 work truck
WWTF 760
Aerzen Scour Air Blower Overhaul/Efficiency
WWTF-23-7
3
2,000,000
2,000,000
2,000,000
2,000,000
3 1,451
1,451
3 24,187
24,187
3
2,494
2,494
3 34,843
34,843
3 26,303
26,303
3
24,482
24,482
3
44,126
44,126
3
34,438
34,438
3
21,644
21,644
3
7,629
7,629
3
6,846
6,846
3
4,385
4,385
3
19,149
19,149
3
11,474
11,474
3
6,387
6,387
3
5,751
5,751
3
2,619
2,619
3
2,449
2,449
3
1,849
1,849
3
806
806
3
8,222
8,222
3
13,705
13,705
2 96,000
102,000
102,000
102,000
102,000
504,000
2 65,000
65,000
1 606,120
606,120
2
100,000
100,000
1 509,520
509,520
1
240,000
240,000
2
110,200
110,200
2
52,320
52,320
2
150,000
150,000
2 114,000
114,000
2
90,000
90,000
1
424,600
424,600
2
70,000
70,000
2
70,000
70,000
2
85,000
85,000
2
150,000
150,000
2
105,000
105,000
3
342,250
342,250
684,500
2
339,500
339,500
679,000
2
140,100
140,100
2
140,100
140,100
2
85,000
85,000
2
60,000
60,000
2
600,000
600,000
3 50,000
50,000
2 110,000
110,000
Source Project # Priority 2023 2024 2025 2026 2027 Total
Wastewater Fund Total
Water Fund
Large UPS for Server Room
IT-2301
Video Surveillance Project
IT-2303
Core Servers Upgrade
IT-2501
Dale St SW (SGR-Roberts)
Partial23-1
Roberts Rd SW (Alan -Dale)
Partial23-2
Washington Ave W (Lynn -Main)
Partial24-1
Michigan St SE/NE (5th Ave -Hwy 7)
Partial25-1
School Rd SW (SGR SW - Roberts Rd SW)
Partial27-1
Harrington St SW (Linden-Juul Rd SW)
Partial 27-2
Bradford St SE (#1324 - Century Ave SE)
Reclaim 23-2
Sherwood St SE (Summerset Ln SE - Century Ave SE)
Reclaim 23-3
Elks Dr SE (Sherwood St SE - Orchard Ave SE)
Reclaim 23-4
Hassan St (5th Ave S-1 st Ave N)
Reclaim 24-1
Hilltop Dr NE (Michigan St NE - Genes Dr NE)
Reclaim 25-1
Lindy Ln NE (Pauls Rd NE to Genes Dr NE)
Reclaim 25-2
Garden Rd NE (Dead end - Hwy 7E)
Reclaim 25-3
Pauls Rd NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-4
Mark Dr NE (Hilltop Dr NE - Lindy Ln NE)
Reclaim 25-5
Morningside Dr NE (Hilltop Dr NE - Dead end)
Reclaim 25-6
Genes Dr NE (Lindy Ln NE - Dead end)
Reclaim 25-7
Orchard Ave SE (Bradford St SE - Elks Dr SE)
Reclaim 26-4
Larson St SW (Roberts -Lewis)
Reclaim 26-5
112 ton work truck
WATR 072
Water Meter Replacement
WATR 22-24
Concentrate piping replacement
WATR 22-5
Bulk Fill station
WATR 23-1
Sensus Analytics & Customer Portal
WATR 23-2
Well 7 Rehabilitation
WATR 24-1
Well 7 Recovery Treatment
WATR 24-2
Membrane replacement
WATR 25-1
Well 4 Rehabilitation
WATR 26-1
Well 6 Rehabilitation
WATR 26-2
Scissors Lift
WATR 26-3
Well 6 Recovery Treatment
WATR 27-1
Well 5 Recovery Treatment
WATR 27-2
112 ton work truck
WATR 484
Mower replacement
WATR 793
Street Infrastructure Improvements
WATR-INF
Water Fund Total
1,637,424 1,505,831 1,042,401 1,115,506 998,537 6,299,699
3 1,227
1,227
3 32,864
32,864
3
2,302
2,302
3 34,843
34,843
3 26,303
26,303
3
24,482
24,482
3
44,126
44,126
3
34,438
34,438
3
21,644
21,644
3
7,629
7,629
3
6,846
6,846
3
4,385
4,385
3
19,149
19,149
3
11,474
11,474
3
6,387
6,387
3
5,751
5,751
3
2,619
2,619
3
2,449
2,449
3
1,849
1,849
3
806
806
3
8,222
8,222
3
13,705
13,705
3
60,000
60,000
3 400,000
400,000
400,000
1,200,000
2
100,000
100,000
3
100,000
100,000
4 28,600
28,600
3 65,000
65,000
3 50,000
50,000
3
400,000
400,000
2
65,000
65,000
2
65,000
65,000
3
30,000
30,000
2
50,000
50,000
2
50,000
50,000
3 45,000
45,000
3 20,000
20,000
3 200,000
200,000
200,000
200,000
200,000
1,000,000
903,837
803,631
1,070,509
394,336
469,787
3,642,100
GRAND TOTAL 9,616,350 15,866,440 10,539,695 8,383,261 7,403,811 51,809,557
HUTCHINSON CITY COUNCIL careof►�
Request for Board Action 7AL Zwl,7
Agenda Item: RESOLUTION CALLING FOR A PUBLIC HEARING TO CONSIDER THE PRO%
Department: EDA
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Miles R. Seppelt
Agenda Item Type:
Presenter: None
Reviewed by Staff ❑
Consent Agenda 0
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
RD Machine, a local manufacturer, is hoping to expand its existing 15,000 square foot building with a 21,000 square
foot addition.
Due to the extensive soil corrections needed, and the resulting higher project cost, a nine-year economic
development TIF District is being proposed to assist the company.
The attached resolution is to call for the needed public hearing at which the TIF District will be considered.
If you have any questions or need additional information, please give me a call any time at 234-4223.
BOARD ACTION REQUESTED:
Adoption of Resolution
Fiscal Impact: $ 0.00 Funding Source: N/A
FTE Impact: 0.00 Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
CITY OF HUTCHINSON
COUNTY OF MCLEOD
STATE OF MINNESOTA
RESOLUTION NO. 15548
RESOLUTION CALLING FOR A PUBLIC HEARING BY THE CITY COUNCIL
ON THE_. PROPOSED ADOPTION OF A MODIFICATION TO THE
DEVELOPMENT PROGRAM FOR DEVELOPMENT DISTRICT NO. 4 AND
THE PROPOSED ESTABLISHMENT OF TAX INCREMENT FINANCING
DISTRICT M. 4-23 THEREIN AND THE ADOPTION OF A TAX INCREMENT
FINANCING PLAN THEREFOR.
BE 1T RESOLVED by the City Council (the "Council') for the City of Hutchinson, Minnesota (the
"City"), as follows:
Section I. Public Hearing. This Council shall meet on January 10, 2023, at approximately 6:00
P.M., to hold a public hearing on the proposed adoption of a Modification to the Development Program
for Development District No. 4 (the "Development Program Modification"), the proposed establishment
of Tax Increment Financing District No. 4-23 ("711' District No. 4-23"), an economic development
district, and the proposed adoption of a Tax Increment Financing Plan (the "TIF Plan") therefor (the
Development Program Modification and the TIF Plan are referred to collectively herein as the "Program
Modification and TIP Plan"), all pursuant to and in accordance with Minnesota Statutes, Sections 469.124
to 469.134, and Sections 469.174 to 469.1794, inclusive, as amended, in an effort to encourage the
development and redevelopment of certain designated areas within the City; and
Section 2. Notice of Public Hearing, Filing of Program Modification and TIF Plan. City staff is
authorized and directed to work with Ehlers & Associates, Inc., to prepare the Program Modification and
TIF Plan for TIF District No. 4-23 and to forward documents to the appropriate taxing jurisdictions
including McLeod County and Hutchinson Independent School District No. 423. The City Administrator
is authorized and directed to cause notice of the hearing, together with an appropriate map as required by
law, to be published at least once in the official newspaper of the City not later than 10, nor more than 30,
days prior to January 10, 2023, and to place a copy of the Program Modification and TIF Plan on file in
the City Administrator's office at City Hall and to make such copy available for inspection by the public.
Dated: , 2022
Adopted:
Mayor
ATTEST:
City Administrator .
4891-6622-8038\1
Library Board Meeting
October 24, 2022
Members Present: Mary Christensen, Sue Griep, Margaret Hoffman, Kay Hultgren, Dianne
Wanzek, and Elisabeth Kable (Yout Services Librarian) Ex-officio presiding in Katy Hiltner's
absence.
Excused/Absent: Julie Lofdahl, Carolyn Ulrich, Katy Hiltner.
Dianne called the meeting to order at 4:30.
Minutes from the August 22, 2022, meeting were reviewed and approved. Note: no meeting
was held in September. (Illness)
Old Business:
1. Summary: Friends of Library Fall Book Sale: $1431.25 from sales
A grant was received from Thrivent, bringing the total received to
$1681.25. Remaining books were given to a vendor from Ghana.
2. Program Summary: September Activities:
Lego Club: 15 builders participated in this first meeting since COVID. Projects
were on display during the rest of September.
Domino Challenge: 5 participants
Story Hour: Doing well in person, live -streamed, and on Youtube.
Fall bulb -planting: No participants. Various gardening programs will resume.
3. Library History Brochure: The brochure, a combination of photos courtesy of the
McLeod History Museum, with historical information provided by Margaret Hoffman, is available
online and in the library. The board expressed its appreciation for the project.
New Business:
1. Library Computer(s) Upgrades: PLS is working on upgrading all staff computers,
with money included in the budget for this. In addition, the number adult and youth computers
have been reduced (one each).
2. October and November Calendar of Events:
Children: Multiple activities brought participation from children and teens —
Coding Club, Lego Club, scavenger hunt(s), blinging out pumpkins, teen meet -ups (new).
Legacy Author Program: Gretchen Anthony will present a program on her book
The Book Hater's Book Club, on Saturday, Nov. 19, 10 a.m., at the Library.
NalloWriMo short story writing contest: Stories can be written based on special
photos. Participation prizes will be given.
Legacy Program: DIY Winter Craft Kits (25) available by advanced reservation.
FOL Project Bookshelf: New books, for children ages (0-18), can be dropped off
between November 4 and December 2, in book collection boxes at various schools and the
public library.
3. Community Knitting Project Returns: Donations of hand knitted hats, scarves,
mittens can be dropped off at the Senior Center until Dec. 31, 2022. Knit and crochet items will
be distributed through UCAP, CCM, and MEFS.
4. Winter Reading 2023: Katy welcomes ideas/suggestions for "challenges".
5. December Library Board Meeting: The monthly meeting, December 26, 2022, will
not be held, due to the holiday.
6. Library Buzz:
Kay: Caught up on reading back issues of Women's Press Magazine, etc.
Margaret: The Destructionists (NF) by Dana Milbank
Sue: Just Mercy (NF) by Bryan Stevenson
Mary: A Tangled Web (NF) by Leslie Rule
Elisabeth: Remarkably Bright Creatures (F) by Shelby Van Pelt
Dianne: The 6:20 Man: A Thriller (F) by David Baldacci
Next Meeting: Monday, November 28, 4:30 pm., in meeting room.
August and September Donations and Grants:
Legion Auxiliary Book Memorials $80.00
(Marlys Lindgren, Audrey Miller, Val Pikal, and Vera Meyer)
Prairielands Teen Summer Reading Grant $122.42
Thrivent Grant $218.76
Total = $421.18
Respectfully submitted: Kay Hultgren, secretary
MINUTES
Public Arts Commission Regular Meeting
Nov 09 2022, 5:30 PM
Hutchinson Center for the Arts
15 Franklin St SW, Hutchinson MN 55350
Call to order at 5:36
Present: Morgan Baum, Justin Beck, Patrick Hiltner, Lynn Neumann (ex-officio), Jeri Jo Redman
Absent: Kay Johnson, Pat May, Dan Jochum (ex-officio)
Approval of Minutes from October
Justin will update minute with changes, motion by Morgan, Patrick 2nd, carries
SS Updates:
Randy Carter will put a wooden post by the SW corner of Library Square
Discussion about location, it's a popular location.
The City is researching a security camera project, but not currently planned for that location.
Outreach
Morgan will add the names from the list that Justin sent to the contact list
Morgan will send out once ready. Thanksgiving outreach, call for art, morgan will send it from the info
BCC
Justin will update the applications and will talk with the City Attorney about the liability clauses.
MITGI was presented with the sponsorship, gave them the deadline of January 2023.
Steve Cook reached out about the funds for the 2023 Judge's Award.
Bring 4 Thank You cards for Steve and the 3 judges (Lynn will get them to Justin).
Welding Class Project Idea - Gary Koehring
Questions:
Will they make it and place it on the HHS grounds and then we include it in the brochure?
Could the HHS make a sculpture to submit for the 2023 sculpture?
Would the school fund a pad?
Justin & Lynn will gather more information.
Recruitment for open commissioner spot:
Blake Stolpestad, the new art instructor at HHS, a former Coyote, is interested in applying for the open PAC
seat. I sent him an application.
Other:
Patrick 1st, Justin 2nd, carries Morgan will write the letter to the administrator
Creative MN study can be renewed every 5 years, Morgan will get more info.
Website:
Please take another look at the website needs and wants list.
City IT staff says that we can host the email ourselves, or it can be migrated to a gmail account.
Justin will ask VI for website traffic so we know what kind of traffic we're getting.
We can still keep the hutchinsonpublicarts.com redirect to the new page
Mural Project: no updates
Patrick will be late for the next few meetings
Adjourn, 6:23 Morgan 1st, Patrick 2nd
HRA
111 Hassan Street SE
Hutchinson, MN 55350
Website: www.hutchinsonhra.com
HUTCHINSON MOUSING AND
REDEVELOPMENT AUTHORITY
(320) 234-4251 (320) 234-4240 Fax
Hutchinson HRA Regular Board Meeting
November 15, 2022
Minutes
1. CALL TO ORDER: Chair Renee Lynn Johnson Kotlarz called the meeting to order.
Members Present: Renee Lynn Johnson Kodarz, Gary Forcier, Robin Kashuba, Kim Merwin
and Steve Jensen. Staff Present: Judy Flemming and JJ Morgan.
a. Kim Merwin moved to approve the Hutchinson HRA Regular Board Meeting agenda.
Robin Kashuba seconded. The motion carried unanimously.
2. PUBLIC COMMENTS No citizens addressed the HHRA Board of Commissioners.
3. MINUTES OF THE REGULAR BOARD MEETING ON OCTOBER 18, 2022
a. Gary Forcier moved to approve the minutes of the regular board meeting.
Steve Jensen seconded. The motion carried unanimously.
4. FINANCIAL REPORTS
Steve Jensen moved to approve the following:
a. City Center General Fund payments of 12,105.23 for checks 9296 to 9302.
b. City Center October 31, 2022 Financial Statements.
c. Park Towers Operating Account payments of $30,753.28 for checks 15859 to 15880 and Park
Towers Security Deposit Account payments of $8.77 for checks 1613.
Gary Forcier seconded. The motion carried unanimously.
Steve Jensen moved to approve the following:
d. Authorize online payments of monthly Visa bill.
Kim Merwin seconded. The motion carried unanimously.
5. PARK TOWERS
a. Park Towers November Newsletter presented.
b. Judy Flemming reviewed with the HRA Board the Park Towers Vacancy Report.
b. Operation Update
1) Recognized the receipt of the Notification of Low Loss Ratio Award for the 2018-2020
HARRG policy years.
2) Judy Flemming reported on the progress of the Tenant Annual Recertification.
6. CONSIDERATION OF ALLOCATING $20,000 OF CITY TIF FUNDING FOR THE
HUTCHINSON HEALTHY HOMES INITIATIVE GRANT PROGRAM
Steve Jensen moved to approve the Hutchinson Healthy Homes Initiative Grant Program as
presented. Kim Merwin seconded. The motion carried unanimously.
November 15, 2022 Minutes Page 1 of 2
mmmo�
HRA
HUTCHINSON HOUSING AND
REDEVELOPMENT AUTHORITY
111 Hassan Street SE
Hutchinson, MN 55350
Website: www.hutchinsonhra.com
(320) 234-4251 (320) 234-4240 Fax
7. COMMUNICATIONS
a. Judy Flemming provided an update on the Housing Study progress.
8. ADJOURNMENT
a. Steve Jensen moved to adjourn and Gary Forcier seconded. The motion carried unanimously.
There being no other business, Chair Renee Lynn Johnson Kotlarz declared the meeting adjourned.
Recorded by Judy Flemming, HRA Executive Director
.A�� T6
Gary Forcie /,secretary/Treasurer
0�'
November 15, 2022 Minutes Page 2 of 2
MINUTES
HUTCHINSON PLANNING COMMISSION
Tuesday, November 15, 2022
5:30 p.m.
1. CALL TO ORDER 5:30 P.M.
The November 15th, 2022 Planning Commission meeting was called to order by Chairman
Lofdahl at 5:30 p.m. Members in bold were present Chairman Lofdahl, Vice Chairman
Hacker, Commissioner Garberg, Commissioner Wirt, Commissioner Sebesta, and
Commissioner Janssen. Also present were Dan Jochum, City Planner, City Engineer,
John Olson, City Public Works, John Paulson, City Environmental Specialist, Marc
Sebora, City Attorney, Andrea Schwartz, City of Hutchinson Permit Technician and
Madison Newcomb, City of Hutchinson Planning and Building Assistant.
2. PLEDGE OF ALLEGIANCE
3. CONSENT AGENDA
A. CONSIDERATION OF MINUTES DATED October 18, 2022.
Motion by Commissioner Sebesta to approve October 18, 2022 meeting minutes.
Second by Commissioner Janssen. Motion approved.
4. PUBLIC HEARING
A. NONE
5. NEW BUSINESS
A. CONSIDERATION OF A SITE PLAN REVIEW FOR PARKING LOT PLAN
LOCATED AT 125 MAIN ST N.
Dan Jochum, City Planner addressed the Commission and gave a brief overview
of the project. Mr. Jochum then covered the staff report.
Commissioner Wirt questioned what areas are defined as City parking. Mr.
Jochum noted that the City does not own any of the parking area but there is an
agreement for parking. It was noted that the City owns a small parcel to the south
of the MITGI building.
Commissioner Lofdahl asked what the green space would look like. It is proposed
to be mostly trees/shrubs.
Minutes
Hutchinson Planning Commission
November 15, 2022
Page 2
Commissioner Janssen questioned the gates on the side and back of building.
These will be gates and not fences to keep public from parking in the back of the
building.
Commissioner Sebesta asked if the Hassan St intersection would line up with the
parking lot entrance. Mr. Jochum answered that the parking lot entrance will not
change and this is probably for the better to reduce unwanted traffic through the
parking lot.
It was noted that The City of Hutchinson does not remove snow in this parking lot.
Motion by Commissioner Garberg to approve the Site Plan Review with 3 staff
recommendations. Second by Commissioner Wirt. Item will be on City Council
consent agenda on 10/22/2022.
6. UNFINISHED BUSINESS
A. NONE
7. COMMUNICATION FROM STAFF
A. UPCOMING MEETINGS — One item for the December meeting so far. An
apartment building on Michael Ct. Possible CUP for used car lot also. We may be
meeting on December 21 sc
8. ADJOURNMENT
Motion was made by Commissioner Sebesta to adjourn the meeting, second by
Commissioner Lofdahl. Meeting was adjourned at 5:56 p.m.
c� HUTCHINSON CITY COUNCIL
Request for Board Action
A CITY ON PURPOSE.
November 2022 Financial and Investment Reports
Agenda Item:
Department: Finance
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff ❑�
Governance
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
For Council review, attached are the Financial and Investment reports for November.
Feel free to contact me with any questions. Thank you.
BOARD ACTION REQUESTED:
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: Govern,
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
General Fund
Taxes
Other Taxes
Licenses & Permits
Intergovernmental Revenue
Charges for Services
Miscellaneous Revenues
Transfers -In
Fines & Forfeitures
Capital Contributions
TOTAL REVENUES
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Transfers -Out
Capital Outlay
TOTAL EXPENDITURES
NET REVENUE
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING NOVEMBER 30, 2022
2022ACTUALS
NOVEMBER YTD
2022 2021
2022 AVAILABLE % BDGT 2021 YTD 2021 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
2,601,134
5,562,967
5,617,556
54,589
99.0
5,399,554
5,442,779
99.2
41,787
269,067
320,000
50,933
84.1
269,443
305,000
88.3
11,801
516,237
443,600
(72,637)
116.4
547,299
380,300
143.9
-
1,783,281
1,744,821
(38,460)
102.2
1,701,623
1,716,788
99.1
115,379
2,123,175
2,816,325
693,150
75.4
2,001,021
2,786,834
71.8
73,161
314,658
256,500
(58,158)
122.7
172,825
246,250
70.2
-
1,867,192
2,710,191
842,999
68.9
1,867,192
2,723,191
68.6
4,796
45,215
55,000
9,785
82.2
39,495
55,000
71.8
-
-
-
-
-
-
40,000
-
2,848,058 12,481,793 13,963,993 1,482,200 89.4 11,998,451 13,696,142 87.6
705,346
8,337,531
9,443,650
1,106,119
88.3
8,020,319
9,240,778
86.8
54,795
790,282
934,515
144,233
84.6
726,241
882,622
82.3
271,359
2,448,823
2,756,429
307,606
88.8
2,314,575
2,760,282
83.9
382,980
651,439
714,086
62,647
91.2
806,857
684,310
117.9
-
110,313
110,313
-
100.0
108,150
108,150
100.0
-
9,604
5,000
(4,604)
192.1
65,281
20,000
326.4
1,414,480
12,347,992
13,963,993
1,616,001
88.4
12,041,423
13,696,142
87.9
1,433,578
133,800
-
(133,800)
(42,972)
-
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING NOVEMBER 30, 2022
2022ACTUALS
NOVEMBER YTD
General Fund Expense by Department
2022 2021
2022 AVAILABLE % BDGT 2021 YTD 2021 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
Mayor & City Council
4,524
35,156
50,077
14,921
70.2
39,437
50,099
78.7
City Administrator
37,032
466,066
482,617
16,551
96.6
418,552
491,611
85.1
Elections
5,268
19,214
18,700
(514)
102.7
62
-
-
Finance Department
26,010
346,419
404,170
57,751
85.7
324,656
382,169
85.0
Motor Vehicle
21,978
258,850
296,160
37,310
87.4
239,984
251,241
95.5
Assessing
61,478
61,478
61,205
(273)
100.4
61,205
61,152
100.1
Legal
32,378
273,580
328,734
55,154
83.2
259,196
321,917
80.5
Planning
13,609
143,109
170,514
27,405
83.9
140,896
164,302
85.8
Information Services
38,402
505,076
598,135
93,059
84.4
480,955
587,903
81.8
City Hall Building
16,581
161,893
193,849
31,956
83.5
180,359
190,079
94.9
Police Department
290,163
3,150,230
3,497,529
347,299
90.1
3,353,333
3,607,758
92.9
Hospital Security
22,536
284,677
361,679
77,002
78.7
277,166
328,598
84.3
Emergency Management
156
10,846
16,980
6,134
63.9
13,975
17,280
80.9
Safety Committee
-
9,840
11,370
1,530
86.5
11,099
11,210
99.0
Fire Department
49,573
366,928
411,094
44,166
89.3
369,454
369,510
100.0
Protective Inspections
26,369
285,935
334,179
48,245
85.6
261,413
326,560
80.1
Engineering
49,685
409,161
441,310
32,149
92.7
392,828
465,890
84.3
Streets & Alleys
95,852
1,414,940
1,630,466
215,526
86.8
1,383,350
1,588,741
87.1
Park/Recreation Administration
17,233
237,916
249,716
11,800
95.3
236,438
316,616
74.7
Recreation
11,935
189,092
278,533
89,441
67.9
224,395
260,435
86.2
Senior Citizen Center
8,242
79,500
96,796
17,296
82.1
52,034
93,715
55.5
Civic Arena
38,788
301,042
411,332
110,290
73.2
259,368
373,185
69.5
Park Department
71,809
942,869
1,072,754
129,885
87.9
848,937
994,819
85.3
Recreation Building
17,409
208,516
265,600
57,084
78.5
171,602
248,129
69.2
Events Center
12,035
230,681
261,357
30,676
88.3
216,565
275,259
78.7
Evergreen Building
2,381
29,867
31,375
1,508
95.2
26,212
30,725
85.3
Library
48,999
219,952
230,492
10,540
95.4
208,906
222,820
93.8
Waterpark
1,113
466,287
396,659
(69,628)
117.6
354,230
355,833
99.5
Cemetery
8,418
129,877
145,838
15,961
89.1
133,155
138,320
96.3
Airport
4,942
106,515
145,123
38,608
73.4
122,537
131,541
93.2
Unallocated General Expense
379,583
1,002,482
1,069,650
67,168
93.7
979,125
1,038,725
94.3
TOTAL EXPENDITURES
1,414,480
12,347,992
13,963,993
1,616,001
88.4
12,041,423
13,696,142
87.9
Liquor Fund
Sales
Miscellaneous Revenues
TOTAL REVENUES
Cost of Sales
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Transfers -Out
Capital Outlay
Depreciation Expense
TOTAL EXPENDITURES
NET REVENUE
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING NOVEMBER 30, 2022
2022ACTUALS
NOVEMBER YTD
2022 2021
2022 AVAILABLE % BDGT 2021 YTD 2021 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
617,884
6,475,316
7,424,000
948,684
87.2
6,546,788
6,809,000
96.1
102
4,908
3,000
(1,908)
163.6
2,697
2,500
107.9
617,986
6,480,224
7,427,000
946,776
87.3
6,549,484
6,811,500
96.2
482,335
4,903,854
5,666,000
762,146
86.5
5,039,312
5,159,602
97.7
65,579
721,879
812,108
90,229
88.9
644,887
757,179
85.2
2,556
20,003
21,100
1,097
94.8
18,688
22,600
82.7
22,108
271,771
285,550
13,779
95.2
258,696
259,365
99.7
20
5,925
6,700
775
88.4
5,794
6,700
86.5
-
-
550,000
550,000
-
-
550,000
-
42,429
15,000
(27,429)
282.9
6,153
15,000
41.0
-
-
70,700
70,700
-
-
77,000
-
572,599
5,965,862
7,427,158
1,461,296
80.3
5,973,531
6,847,446
87.2
45,387 514,362 (158) (514,520) 575,953 (35,946)
Year to Date Sales November Sales
Comments
2022
2021
Change
Liquor Sales Revenue: Liquor
2,351,304
2,316,508
1.5%
Beer
3,115,405
3,165,016
-1.6%
Wine
844,428
902,326
-6.4%
Other
164,180
162,937
0.8%
Total Sales
6,475,316
6,546,788
-1.1%
Gross Profit
$1,571,462
$1,507,475
Gross Margin on Sales
24.3%
23.0%
Customer Count
216,829
222,799
-2.7%
Average Sale per Customer
$29.86
$29.38
1.6%
Labor to Sales Ratio
11.1 %
9.9%
2022
2021
Change
235,266
223,945
5.1 %
258,618
242,374
6.7%
110,236
104,892
5.1 %
13,764
12,490
10.2%
617,884
583,701
5.9%
$135,549
$92,231
21.9%
15.8%
19,406 19,082 1.7%
$31.84 $30.59 4.1 %
10.6% 10.4%
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING NOVEMBER 30, 2022
2022
2021
2022 ACTUALS
2022
AVAILABLE
% BDGT
2021 YTD
2021
% BDGT
NOVEMBER
YTD
BUDGET
BALANCE
USED
ACTUAL
BUDGET
USED
Water Fund
Sales
146,347
1,763,971
1,715,000
(48,971)
102.9
1,804,340
1,715,000
105.2
Sales - Other
37,858
551,569
549,950
(1,619)
100.3
560,320
549,950
101.9
Local Sales Tax
80,617
783,716
812,000
28,284
96.5
720,774
737,000
97.8
Charges for Services
3,373
71,387
71,685
298
99.6
66,668
65,700
101.5
Miscellaneous Revenues
11,674
57,904
42,000
(15,904)
137.9
43,712
47,000
93.0
Capital Contributions
-
-
-
-
-
-
-
TOTAL REVENUES 279,869 3,228,547 3,190,635 (37,912) 101.2 3,195,814 3,114,650 102.6
Wages & Benefits
40,340
493,597
579,241
85,644
85.2
462,421
546,882
84.6
Supplies
19,695
188,474
168,150
(20,324)
112.1
130,996
140,150
93.5
Services & Charges
52,327
398,777
507,750
108,973
78.5
518,948
500,950
103.6
Miscellaneous Expenses
-
1,071
13,500
12,430
7.9
2,183
15,000
14.6
Transfers -Out
-
-
70,000
70,000
-
-
70,000
-
Capital Outlay
6,796
364,924
998,450
633,526
36.5
865,219
Depreciation Expense
-
-
1,132,000
1,132,000
-
-
1,160,000
-
Debt Service
-
1,401,027
1,465,433
64,406
95.6
1,388,056
1,465,215
94.7
TOTAL EXPENDITURES
119,159
2,847,869
4,934,524
2,086,655
57.7
2,502,604
4,763,416
52.5
NET of REVENUES & EXPENDITURES
160,709
380,678
(1,743,889)
(2,124,567)
693,210
(1,648,766)
Year to Date Water Sales
Comments
2022
2021
Change
Water Sales Revenue: Residential
1,182,557
1,226,480
-3.6°/u
Commercial
348,166
356,069
-2.2%
Industrial
233,248
221,790
5.2%
Water Sales
1,763,971
1,804,340
-2.2%
Base Charge
407,981
402,630
1.3%
Water Connection Charge
71,015
98,053
-27.6%
Other
72,573
59,638
21.7%
Other Sales
551,569
560,320
-1.6%
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING NOVEMBER 30, 2022
2022
2021
2022 ACTUALS
2022
AVAILABLE
% BDGT
2021 YTD
2021
% BDGT
NOVEMBER
YTD
BUDGET
BALANCE
USED
ACTUAL
BUDGET
USED
Wastewater Fund
Sales
215,777
2,651,386
2,755,000
103,614
96.2
2,479,571
2,782,000
89.1
Sales - Other
36,036
455,524
559,300
103,776
81.4
482,203
568,150
84.9
Local Sales Tax
80,617
783,716
812,000
28,284
96.5
720,774
737,000
97.8
Licenses & Permits
-
6,000
6,500
500
92.3
6,000
6,500
92.3
Charges for Services
2,205
11,190
7,500
(3,690)
149.2
3,500
7,500
46.7
Miscellaneous Revenues
21,643
102,968
90,000
(12,968)
114.4
76,197
97,500
78.2
Capital Contributions
-
-
-
-
-
-
-
-
TOTAL REVENUES
356,278
4,010,783
4,230,300
219,517
94.8
3,768,244
4,198,650
89.7
Wages & Benefits
57,386
677,341
776,934
99,593
87.2
661,159
752,715
87.8
Supplies
31,106
234,570
246,500
11,930
95.2
180,967
225,000
80.4
Services & Charges
42,357
538,791
769,000
230,209
70.1
845,499
762,200
110.9
Miscellaneous Expenses
46
24,561
40,000
15,439
61.4
20,157
40,000
50.4
Transfers -Out
-
-
80,000
80,000
-
-
80,000
-
Capital Outlay
589,444
3,263,919
984,400
(2,279,519)
331.6
1,627,781
2,358,219
69.0
Depreciation Expense
-
-
1,182,000
1,182,000
-
-
1,125,000
-
Debt Service
-
1,427,776
1,526,311
98,535
93.5
1,379,575
1,389,965
99.3
TOTAL EXPENDITURES
720,338
6,166,959
5,605,145
(561,814)
110.0
4,715,139
6,733,099
70.0
NET of REVENUES & EXPENDITURES
(364,060)
(2,156,175)
(1,374,845)
781,330
(946,896)
(2,534,449)
Year to
Date Sewer Sales
Comments
2022
2021
Change
Wastewater Sales Revenue:
Residential
1,472,501
1,479,761
-0.53T.
Commercial
379,818
391,884
-3.1%
Industrial - Flow
427,457
352,649
21.2%
Industrial - Violation Surcharges
371,609
255,277
45.6%
Sewer Sales
2,651,386
2,479,571
6.9%
Base Charge
352,092
347,860
1.2%
Sewer Connection
Charge
85,810
128,869
-33.4%
Other
17,622
5,473
222.0%
Other Sales
455,524
482,203
-5.5%
Capital Outlay The large expenditure for 2022 includes the headworks and SCADA projects. The majority of the headworks costs are being
funded by the $4M in bonds that we issued in 2021.
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING NOVEMBER 30, 2022
2022
2021
2022 ACTUALS
2022
AVAILABLE
% BDGT
2021 YTD
2021
% BDGT
NOVEMBER
YTD
BUDGET
BALANCE
USED
ACTUAL
BUDGET
USED
Refuse Fund
Sales
108,055
1,176,230
1,267,000
90,770
92.8
1,154,141
1,220,000
94.6
Sales - Other
3,726
40,969
44,800
3,831
91.4
35,371
49,600
71.3
Intergovernmental Revenue
-
26,418
12,500
(13,918)
211.3
9,718
12,500
77.7
Miscellaneous Revenues
4,936
23,658
15,000
(8,658)
157.7
14,082
20,000
70.4
TOTAL REVENUES
116,717
1,267,275
1,339,300
72,025
94.6
1,213,312
1,302,100
93.2
Wages & Benefits
18,816
191,001
259,732
68,731
73.5
177,265
225,933
78.5
Supplies
5,394
46,945
59,900
12,955
78.4
30,039
64,400
46.6
Services & Charges
67,906
755,978
848,350
92,372
89.1
703,489
817,220
86.1
Miscellaneous Expenses
-
253
1,000
747
25.3
215
1,000
21.5
Transfers -Out
-
-
55,000
55,000
-
-
55,000
-
CapitalOutlay
438
339,093
1,207,500
868,407
28.1
66,771
865,500
7.7
Depreciation Expense
-
-
169,000
169,000
-
-
162,000
-
TOTAL EXPENDITURES
92,553
1,333,270
2,600,482
1,267,212
51.3
977,778
2,191,053
44.6
NET of REVENUES & EXPENDITURES
24,164
(65,995)
(1,261,182)
(1,195,187)
235,534
(888,953)
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING NOVEMBER 30, 2022
Commst Fund
Sales
Charges for Services
Miscellaneous Revenues
TOTAL REVENUES
Cost of Sales
Inventory Cost Adjustment
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Transfers -Out
Capital Outlay
Depreciation Expense
Debt Service
TOTAL EXPENDITURES
NET of REVENUES & EXPENDITURES
2022ACTUALS
NOVEMBER YTD
2022 2021
2022 AVAILABLE % BDGT 2021 YTD 2021 % BDGT
BUDGET BALANCE USED ACTUAL BUDGET USED
74,783 2,853,366 2,706,000 (147,366) 105.4 2,694,522 2,289,000 117.7
20,230 36,930 87,000 50,070 42.4 14,433 70,000 20.6
6,639 38,008 32,000 (6,008) 118.8 20,879 32,000 65.2
101,652 2,928,304 2,825,000 (103,304) 103.7 2,729,834 2,391,000 114.2
53,025
1,973,563
1,837,000
(136,563)
107.4
1,666,070
1,582,500
105.3
(67,235)
(698,413)
(712,500)
(14,087)
98.0
(595,206)
(674,000)
88.3
64,426
670,232
808,198
137,966
82.9
652,434
798,104
81.7
28,006
145,788
129,000
(16,788)
113.0
123,169
123,500
99.7
33,239
249,276
304,850
55,574
81.8
250,973
259,000
96.9
233
11,341
11,000
(341)
103.1
19,542
11,000
177.7
-
-
120,000
120,000
-
-
110,000
-
102,284
221,000
118,716
46.3
260,164
376,500
69.1
-
278,000
278,000
-
-
282,500
-
-
68,338
73,808
5,470
92.6
153,922
161,642
95.2
111,694
2,522,410
3,070,356
547,946
82.2
2,531,069
3,030,746
83.5
(10,042)
405,894
(245,356)
(651,250)
198,765
(639,746)
Year to Date Sales
Comments
2022
2021
Change
Compost Sales
Bagged
2,161,094
2,244,266
-3.7%
Bulk
353,638
175,007
102.1 %
Other (Freight)
338,635
275,249
23.0%
Total Sales
2,853,366
2,694,522
5.9%
Gross Profit
879,803
1,028,452
Gross Margin
30.8%
38.2%
Bagged Sales Our gross margin is slipping from last year due to higher input costs and the inability to raise sales prices in a competitive sales
market.
REVENUE AND EXPENDITURE REPORT for CITY of HUTCHINSON
PERIOD ENDING NOVEMBER 30, 2022
2022
2021
2022 ACTUALS
2022
AVAILABLE
% BDGT
2021 YTD
2021
% BDGT
NOVEMBER
YTD
BUDGET
BALANCE
USED
ACTUAL
BUDGET
USED
Storm Water Utility
Sales
86,370
946,756
1,033,000
86,244
91.7
919,845
1,000,000
92.0
Sales - Other
464
5,200
3,500
(1,700)
148.6
1,123
3,500
32.1
Licenses & Permits
500
8,015
4,800
(3,215)
167.0
4,940
4,800
102.9
Miscellaneous Revenues
4,337
23,162
14,350
(8,812)
161.4
19,982
15,350
130.2
TOTAL REVENUES
91,671
983,132
1,055,650
72,518
93.1
945,891
1,023,650
92.4
Wages & Benefits
19,889
263,778
290,084
26,306
90.9
241,549
276,724
87.3
Supplies
6,787
32,775
51,325
18,550
63.9
19,361
35,425
54.7
Services & Charges
7,269
96,233
212,150
115,917
45.4
91,113
196,350
46.4
Miscellaneous Expenses
7,349
9,370
18,000
8,630
52.1
17,367
18,000
96.5
Transfers -Out
-
-
-
-
-
-
-
-
CapitalOutlay
746,600
746,600
130,829
739,000
17.7
Depreciation Expense
-
254,000
254,000
-
-
240,000
-
Debt Service
-
164,701
221,589
56,888
93.5
167,151
225,789
70.2
TOTAL EXPENDITURES
41,294
566,856
1,793,748
1,226,892
31.6
667,370
1,731,288
38.5
NET of REVENUES & EXPENDITURES
50,376
416,276
(738,098)
(1,154,374)
278,521
(707,638)
Oppenheimer & Co. Inc.
85 Broad Street STATEMENT 'OF
OEPEP411MEk New York, 00 10004
Trans ctsBu in ACCOUNT M,�71r1.
Transacts Business on All Principal Exchanges
Assets maturing during the next 60 days appear at the end of this statement.
Special Message
This statement has been provided to you through electronic delivery.
Thank you for helping us 'Go Green'!
Oppenheimer is acting in a Brokerage capacity for this account.
Portfolio Summary
This
Previous
Estimated
Period
Period
Annual Income
11/30/22
10/31/22
Advantage Bank Deposits'
$0.00
$62425
$0.00
Mutual Funds
475,812.02
1,693,867.59
14,274.36
Government Agency Bonds
939,175.00
932,370.00
22,150.00
Municipal Bonds
9,764,808.85
8,690,785.00
242,081.10
Certificates of Deposit
6,173,058.08
5,940,084.51
183,875.50
CashA,ccountBelenoB
IAt&99
1,44115
Total Asset Value
17,354 41 84
$17,25M74M
y1i2 wk%
Net Value of Accrued Interest $77,319.51 $76,628.96
Total Asset Value does not include Direct Investments, Accrued Interest or unpriced securities.
Eligible for FDIC insurance up to standard maximum insurance amounts; Not SIPC insured.
Account Number: D25-5019707 Tax ID Number: ON FILCK
For the Period: 11/h1/22-11/30/22 Last Statement: 10/31/22
Page 1 of 13
CITY OF HUTCHINSON MINNESOTA
III HASSAN ST SE
HUTCHINSON MN 55350-2522
Financial Professional
SULLIVAN,C/FAY,J
5HX
(800)258-3387
Internet Address: www.opco.com
Income Summary
Office Serving Your Account
100 SOUTH 5TH ST
SUITE 2200
MINNEAPOLIS, MN 55402
Reportable
This Period
Year to Date
Advantage Bank Dep Interest
$0.04
$0.07
Corporate Interest
14,808.40
124,126.11
Municipal Interest
13,741.00
184,356.95
Government Interest
3,972.22
9,872.22
Dividends
4,401.36
113,687.81
T4tw II*portslbil*
M94M
543$U".15
Non -Reportable
Municipal Accrued Int Paid
$0.00
$-14,448.18
Corporate Accrued Int Paid
0.00
-20.14
TOW b
.1
PPENHEIMEK Executive Summary CITY OF HUTCHINSON
report as of 1210112022 XXXXXX9707
Summary Totals
Original Face
$17,824,000
Current Face (Par)
$17,824,000
Market Principal
$17,120,839
Accrued Interest
$80,622
Cash & Cash Alternatives
$0
Fixed Income Funds
$0
Equity Balance
$0
Total Portfolio Value
$17,201,462
Next 12mo Cpn Cash Flow
$410,348
Generic Annual Cpn Cash Flow
$460,063
Weighted Averages
Coupon'
2.581 %
Maturity"
2.16 yrs
Duration
2.01
Yield to Worst
4.649 %
Yield to Maturity
4.669 %
Market Price'
96.055
Tax Lots Holdings Included
54 of 54
'Par-Wtd, all else Mkt-Wtd.
. Avg lire used for principal paydowns,
and perpetual securities
are assigned a 40 year maturity.
40%
. Muni- 57.0%
CD- 37.5%
Agy- 5.5% 20%
o% I
On'Oti�O On'O�'O�'On'On�O O�O�O�O�O�yO O�^O O�ObObOpObO�OpObOpOpOpOy Oy~�'�a\
Qe
Moody's S&P
Fed Tax -Exempt Fed Taxable Subj to Cap Gains Subj to AMT
UST/AGY/CD -
PR/ETM
$54,000
Aaa
AAA
$45,000
AA
AA
$36,000
A
A
Bea
$27,000
BBB
Be
BB
$18,000
<BB
NR
$9,000
1
NR
None
None
$U
_
0% 20% 40% 60% 80% 100%
P" IV 1�C
60%
40%
20%
0% II
O~O1'O''Op0yo60� 000°i'10;ti~;ti1';ti'';tiptiy;tit'1A;ti0;ti°�ry0;1",ry�',ry'';1.pryyry6;1�,ry0,ry°i;+rOOx
0o'OtiOtiO'iOPO<'iOro'O'�'0009'.tiO.ti'1.ti'4.ti'�.tiP,tiy.tiH,tit.ti0.ti9',yO,y'1,t'L,y'�,yP,�y,y6,y1,tO,yO '�
Includes coupon cash flows for the next 12 months, from 12/012022 to 11/302023.
Includes all tax lot holdings with recognized CUSIP, quantity, market price and full analytical calculations on reporting date. Includes coupon cash flows for the next 12 months, from 12/012022 to 11/302023. Projected Principal Paydowns for
CMOs are produced by applying current pool speeds which are updated weekly. Assuming similar market conditions going forward, Projected Principal Paydowns for Pass-7hru securities are produced by calculating and applying concurrent
historical speeds to future paydown schedules.
Page 3 of 24
PPENFMWM R Totals & Averages @ Current Market CITY OF HUTCHINSON
report as of 1210112022 XXXXXX9707
Original Face Value
Current Face Value
Valid Tax Lot Holdings
Unrecognized Tax Lot Holdings
Total Tax Lot Holdings
$17,824,000
$17,824,000
54
0
54
Valid Tax Lot Holdings' includes all tax lot holdings with recognized CUSIP and quantity.
Priced Original Face Value
$17,824,000
Priced Current Face Value
$17,824,000
Tax Lot Holdings Included
54 of 54
Priced Market Principal
$17,120,839
Average Coupon
2.581%
Average Market Price
96.055
Includes all tax lot holdings with recognized CUSIP, quantity and market price on reporting
date. Average coupon and market price weighted by market principal.
Portfolio Totals
Original Face Value
Current Face Value
Market Principal Value
Accrued Interest
Total Market Value
Cash & Cash Alternatives
Fixed Income Funds
Equity Balance
Total Portfolio Value
Next 12mo Cpn Cash Flow
Generic Annual Cpn Cash Flow
Tax Lot Holdings Included
Portfolio Averages
$17,824,000
Coupon
$17,824,000
Maturity
$17,120,839
Duration
$80,622
Convexity
$17,201,462
Current Yield
$0
Yield to Worst
$0
Yield to Maturity
$0
After Tax YTW
$17,201,462
Taxable Equivalent YTW
$410,348
After Tax YTM
$460,063
Taxable Equivalent YTM
54 of 54
Market Price
2.581 %
2.16 yrs
2.01
0.063
2.687%
4.649%
4.669%
4.649%
4.649%
4.669%
4.669%
96.055
Includes all tax lot holdings with recognized CUSIP, quantity, market price and full analytical calculations on reporting date.
Portfolio average values are market -weighted, unless otherwise noted.
Coupon and market price are par -weighted.
All prices have been normalized to par.
Average life used for principal paydowns, and perpetual securities are assigned a 40 year maturity.
Includes coupon cash flows for the next 12 months, from 1210112022 to 11/30/2023.
ATY/TEY calculations use a Fed Tax rate of 0.00%, a Cap Gains Tax rate of 0.00%, a State of WA, and a State Tax rate of WA.
Generic Annual Cpn Cash Flow is simply coupon rate times current face value, and does not consider acquisition date, redemption dates, long/short
first coupons, ex -dividend dates, payment delays, etc.
Duration and convexity figures represent modified duration to worst.
Page 4 of 24
PPENHEIMEK Totals & Averages @ Acquisition CITY OF HUTCHINSON
report as of 1210112022 XXXXXX9707
Original Face Value
Current Face Value
Valid Tax Lot Holdings
Unrecognized Tax Lot Holdings
Total Tax Lot Holdings
$17,824,000
Portfolio Totals
Portfolio Averages
$17,824,000
Original Face Value
$17,824,000
Yield to Worst (cost)
2.686%
54
Face Value at Acquisition
$17,824,000
Yield to Worst (mkt)
4.649%
0
Original Principal Cost
$17,804,698
Yield to Maturity (cost)
2.725%
54
Adjusted Principal Cost
$17,760,778
Yield to Maturity (mkt)
4.669%
Current Market Principal
$17,120,839
Original Acquisition Price
99.892
Estimated Gain/(Loss)
-$639,938
Adjusted Cost Price
99.645
Tax Lot Holdings Included
54 of 54
Current Market Price
96.055
Valid Tax Lot Holdings' includes all tax lot holdings with recognized CUSIP and quantity.
Original Face Value
$17,824,000
Face Value at Acquisition
$17,824,000
Tax Lot Holdings Included
54 of 54
Original Principal Cost
$17,804,698
Average Acquisition Price
99.892
Includes all tax lot holdings with recognized CUSIP, quantity, acquisition date/price, full analytical calculations at acquisition, market price, and full
analytical calculations on reporting date.
Average values Qa cost are weighted by respective original total acquisition costs.
Includes all tax lot holdings with recognized CUSIP, quantity, and acquisition date/price. All prices have been normalized to par.
Average acquisition price is weighted by original principal cost. Average life used for principal paydowns, and perpetual securities are assigned a 40 year maturity.
Page 5 of 24
PPENHEIMER
Position Details
CITY OF HUTCHINSON
report as of 1210112022
XXXXXX9707
Position
Details
CUSIP
Curr Face Account #
Mdy / S&P
Coupon
Mkt Px
Acq Date
Tot Adj Cost Mkt Principal Unreal GIL
Asset
% Port Held
(Underlying) Issue Description
Maturity
Duration Px To Date Yield
ATY TEY Acq Px / Yid
Adj Cost Px Accr Int % Adj Cost
214201GK5
150 xxxxxx9707
WR/- COOK CNTY ILL SCH DIST NO
0.000%
100.000 Maturity 12/01/2022 0.000`/0 (w)
- - 10/27/2020
$149,996 $150,000
Muni
0.34% Herd
(Ww-) 089MAYWOOD
12/012022
0.00 Curr Yield - 0.000%
98.341 /0.800%
99.997 $0 '
Material Events I Federally Taxable I State Taxable I General Obligation I Education I AGMC Insured
949495AQ8
245 xxxxxx9707
-/-
WELLS FARGO NATL BK WEST LAS 1.900%
99.764 Maturity
01/17/2023
3.910% (w)
3.910% 3.910%
01/17/2020
CD
1.37% Held
V 01/172023
0.12 Curr Yield
-
1.904%
100.000 / 1.900%
FDIC Cert A, 27389
Death Put I I WFC I Monthly Pay
58404DDMO
245 xxxxxx9707
-/-
MEDALLION BK UTAH 2.850%
99.675 Maturity
03/06/2023
4.163% (w)
4.163 % 4.163 %
03/05/2019
CD
1.37% Held
FDIC Cert A, 57449 03/062023
0.25 Cum Yield
-
2.859%
100.000 / 2.850
Death Put I I MEDBNK I Monthly Pay I Restricted States: AL,OH,TX
149159MQ5
245 xxxxxx9707
-/-
CATHAY BK LOS ANGEL CALIF 3.150%
99.285 Maturity
06/08/2023
4.592% (w)
4.592 % 4.592 %
06/08/2018
CD
1.37% Held
FDIC Cert A, 18503 06/08/2023
0.49 Curr Yield
-
3.173%
100.000 / 3.150
Death Put I I CATY I Semi -Annual Pay I Restricted Stales: CA NY
856425AR4
245 xxxxxx9707
-/-
STATE BANK OF LISMORE 3.100%
99.161 Maturity
06/27/2023
4.623% (w)
4.623 % 4.623 %
06/27/2018
CD
1.37% Held
LISMORE MN 06272023
0.55 Curr Yield
-
3.126%
100.00013.100%
FDIC Cert#., 8190
Death Put I I SBKLIS I Monthly Pay
45581 EAX9
245 xxxxxx9707
4-
INDUSTRIAL & COML BK CHINA 3.300%
99.258 Maturity
06/30/2023
4.628% (w)
4.628% 4.628%
08/30/2018
CD
1.37% Held
USA 06/30/2023
0.56 Curr Yield
-
3.325%
100.000 / 3.300%
FDIC Cert A, 24387
Death Put I I INDCMB I Monthly Pay I Restricted States: NON-USACCOUNTS
75472RAW1
245 xxxxxx9707
4-
RAYMOND JAMES BK NATL ASSN 1.700%
97.952 Maturity
011/14/2023
4.737% (w)
4.737% 4.737%
02/14/2020
CD
1.37% Held
FDIC Cert A, 33893 08/14/2023
0.67 Curr Yield
-
1.736%
100.000 / 1.700%
Death Put I I RJF I Semi -Annual Pay
59833LAF9
245 xxxxxx9707
-/-
MIDWEST INDPT BK MO 3,150%
98.779 Maturity
09/18/2023
4.735% (w)
4.735% 4.735%
09/17/2018
CD
1.37% Held
FDIC Cert A, 25849 09/182023
0.77 Curr Yield
-
3.189%
100.000 / 3.150
Death Put I I MO NS I Monthly Pay
59447TKJ1
300 xxxxxx9707
Aa2/AA-
MICHIGAN FIN AUTH REV 2.744%
97.970 Maturity
11/01/2023
5.063% (w)
5.063% 5.063%
07/26/2022
Muni
1.68% Held
(cow-)
11/012023
0.88 Curr Yield
-
2.801%
99.436 / 3.201%
Material Events I Federally Taxable I S&P Outlook Stable I Make Whole Call I Extraordinary Calls I Revenue
I Government I Semi -Annual Pay
Includes all tax
lot holdings with recognized CUSIP. For preferred securities, # of shams is displayed instead of current face value, which is represented in thousands (000).
The (w) in the Yield column indicates which yield value
is the Yield to Worst (YTM9.
Duration figure
represents modified duration to worst.
ATY/TEY calculations use a Fed Tax rate of 0.00%, a Cap Gains Tax rate of 0.0091, a State of WA, and a State Tax rate of WA.
Page 6 of 24
$245,000 $244,422
100.000 $230
$245,000 $244,204 ($796)
100.000 $0 (0.3%)
$245,000 $243,248 ($1,752)
100.000 $3,806 (0.7%)
$245,000 $242,944 ($2,056)
100.000 $166 (0.8%)
$245,000 $243,182 ($1,818)
100.000 $111 (0.7%)
$245,000 $239,982 ($5,018)
100.000 $1,289 (2.0%)
$245,000 $242,009 ($2,991)
100.000 $381 (1.2%)
$298,308 $293,910 ($4,39e)
99.436 $777 (1.5%)
PPENHEIMEK Position Details (continued...) CITY OF HUTCHINSON
report as of 1210112022 XXXXXX9707
CUSIP
Curr Face Account #
Mdy / S&P
Coupon
Mkt Px
Asset
% Port Held
(Underlying)
Issue Description
Maturity Duration Px To
Date
Yield
81760ARSO
245 xxxxxx9707
4-
MORGAN STANLEY PRIVATE BK
3.550%
98.818 Maturity
11/08/2023
4.864% (w)
Co
137" Herd
NATL
11/0a2023
0.89 Cum Yield
-
3.592%
FDIC Cert A, 34221
Death Put I I MS I Semi -Annual Pay
54627CAX1
250 xxxxxx9707
Aaa/-
LOUISIANA HSG CORP
0.550%
97.289 Next Call
12/22/2022
59.422%
Muni
1.40% Held
(-/-)
MULTIFAMILY HSG REV -
12/012023
0.97 Maturity
12/01/2023
3.360% (w)
HOLLYWOOD ACRES LLC -
Cum, Yield
-
0.565%
HOLLYWOOD HEIGHTS PROJS
Material Events I Revenue I Housing I Semi
-Annual Pay
538036CZ5
245 xxxxxx9707
-/-
LIVE OAK BANKING COMPANY
2.500%
97.670 Maturity
12/13/2023
4.842% (w)
Co
1.37% Held
WILMINGTON NC
12/132023
1.01 Cuff Yield
-
2.560%
FDIC Cart A, 58665
Death Put I I LIVOAK I Monthly Pay
03784JSL9
245 xxxxxx9707
-/-
APPLE BANK FOR SAVINGS
0.600%
95.341 Maturity
01/22/2024
4.877% (w)
Co
1.37% Held
FDIC Cart A,16068
01222024
1.10 Cum Yield
-
0.629%
Death Put I I APPBNK I Semi -Annual Pay I Restricted States: TX
06251AV80
245 xxxxxx9707
-/-
BANK HAPOALIM B M NEW YORK
3.200%
98.201 Maturity
01/23/2024
4.840% (w)
Co
1.37% Held
FDIC Cart A, 33686
01232024
1.08 Cuff Yield
-
3.259 %
Death Put I I Foreign I Emerging I HAPOAL
I Semi -Annual Pay I Restricted States: MT,TX
20033AP91
245 xxxxxx9707
-/-
COMENITY CAP BK UTAH
3.100%
97.973 Maturity
02/15/2024
4.846% (w)
CO
1.37% Held
FDIC Cart A, 57570
02/152024
1.17 Curr Yield
-
3.164%
Death Put I I ADS I Monthly Pay I Restricted States: OH,TX
057864AZ3
485 xxxxxx9707
Aa2/AA
BALDWIN CNTY ALA PUB BLDG
3.000%
100.329 Maturity
03/01/2024
2.726% (w)
Muni
2.72% Held
(Aa2/-)
AUTH BLDG REV - JAIL PROJ
03/012024
1.20 Cum Yield
-
2.990 %
Material Events I S&P Outlook Stable I Extraordinary Calls I
Revenue I Government I
Semi -Annual Pay
65621XAN9
580 xxxxxx9707
-/AA+
NORMANDYSCHS
0.550%
94.992 Maturity
03/01/2024
4.760% (w)
Muni
3.25% Held
(-/a)
COLLABORATIVE MOJT
031012024
1.21 Cum Yield
-
0.579%
EXECUTIVE GOVERNING BRD ST
LOUIS CNTY
Federally Taxable I Stale Taxable I S&P Outlook
Stable I General Obligation I Education
I Semi -Annual
Pay
90348JJQ4
245 xxxxxx9707
-/-
UBS BK USA SALT LAKE CITY UT
2.900%
97.478 Maturity
04/03/2024
4.864% (w)
Co
1.37% Held
FDIC Cart A, 57565
04/032024
1.30 Curr Yield
-
2.975 %
Death Put I I UBS I Monthly Pay
Acq Date Tot Adj Cost Mkt Principal Unreal GIL
ATY TEY Acq Px / Yid Adj Cost Px Accr Int % Adj Cost
4.864% 4.864% 11/08/2018 $245,000 $242,104 ($2,896)
100.000 / 3.550 % 100.000 $643 (1.2%)
59.422% 59.422% 05/11/2022 $240,758 $243,222 $2,465
3.360% 3.360% 96.303 / 3.000% 96.303 $15 1.0%
4.842% 4.842% 12/13/2017 $245,000 $239,292 ($5,708)
100.000 / 2.500% 100.000 $67 (2.3%)
4.877% 4.877% 01/26/2022 $243,456 $233,585 ($9,871)
99.370 / 0.920% 99.370 $552 (4.1%)
4.840% 4.840% 01/23/2019 $245,000 $240,592 ($4,408)
100.000 / 3.200 % 100.000 $2,900 (1.0%)
4.846% 4.846% 02/15/2019
100.000 / 3.100 %
2.726% 2.726% 03/20/2020
101.867 / 2.500 %
4.760% 4.760% 12/07/2021
99.491 / 0.780%
4.864% 4.864% 04103/2019
100.000 / 2.900 %
Includes all tax lot holdings with recognized CUSIP. For preferred securities, # of shares is displayed instead of current face value, which is represented in thousands (000).
The (w) in the Yield column indicates which yield value is the Yield to Worst (Y7M9.
Duration figure represents modified duration to worst.
ATY/TEY calculations use a Fed Tax rate of 0.00%, a Cap Gains Tax rate of 0.0091, a State of N/A, and a State Tax rate of N/A.
Page 7 of 24
$245,000 $240,034 ($4,966)
100.000 $416 (2.0%)
$487,925 $486,596 ($1,329)
100.603 $3,799 (0.3%)
$577,048 $550,954 ($26,094)
99.491 $833 (4.5%)
$245,000 $238,821 ($6,179)
100.000 $39 (2.5%)
PPENHEIMEK
Position Details (continued...)
CITY OF HUTCHINSON
report as of 1210112022
XXXXXX9707
Position
Details
CUSIP
Curr Face Account #
Mdy / S&P
Coupon Mkt Px
Acq Date
Tot Adj Cost Mkt Principal
Unreal GIL
Asset
% Port Held
(Underlying)
Issue Description Maturity Duration Px To Date
Yield
ATY
TEY Acq Px / Yid
Adj Cost Px
Accr Int
% Adj Cost
43870IY73
676 xxxxxx9707
Aa2/-
HONOLULU HAWAII CITY & CNTY 0.545% 93.842 Maturity 07/01/2024
4.652% (w)
4.652%
4.652 % 03/07/2022
$658,112
$633,434
($24,678)
Muni
3.79% Held
(Aa2/--)
WASTEWTR SYS REV 07/01/2024 1.53 Cur -Yield -
0.581%
97.49811.650%
97.498
$1,574
'3.7%)
Material Events I Federally Taxable I Make Whole Call I Pro-Rata I Revenue I Utllities I Semi -Annual Pay
14042RSR3
245 xxxxxx9707
-/-
CAPITAL ONE NATL ASSN VA 3.300% 97.589 Maturity 07/08/2024
4.888% (w)
4.888 %
4.888 % 07/07/2022
$245,000
$239,093
($5,907)
CD
1.37% Held
FDIC Cart A, 4297 07/082024 1.61 CurrYleld -
3.382%
100.000 / 3.300%
100.000
$3,345
(2.4%)
Death Put I I COF I Semi -Annual Pay
20056UAV6
500 xxxxxx9707
-IAA
COMMERCE CALIF CMNTY DEV 3.000% 97.113 Maturity 08/01/2024
4.833% (w)
4.833%
4.833% 05/09/2017
$506,460
$485,565
($20,895)
Muni
281% Held
(-/A)
COMMN SUCCESSOR AGY TAX 08/01/2024 1.57 CurrYleld -
3.089%
105.31912.200%
101.292
$5,167
(4.1%)
ALLOCATION
Federally Taxable I S&P Outlook Stable I DID I Revenue I Government I AGMC Insured I Semi -Annual
Pay
438687KT1
1,000 xxxxxx9707
Aal/-
HONOLULU HAWAII CITY& CNTY 1.832% 95.633 Maturity 08/01/2024
4.600% (w)
4.600%
4.600% 10/30/2019
$996,000
$956,330
($39,670)
Muni
5.61% Held
(Aav--)
08/01/2024 1.59 CurrYleld -
1.916%
99.600/1.920%
99.600
$6,310
(4.0%)
Material Events I Federally Taxable I Moody's Watch Negative I Make Whole Call I General Obligation
I Government I Semi -Annual Pay
02589ADM1
245 xxxxxx9707
-/-
AMERICAN EXPR NATL BK 3.350% 97.511 Maturity 08/12/2024
4.897% (w)
4.897%
4.897% 08/10/2022
$245,000
$238,902
($6,098)
CD
1.37% Held
FDIC Cart A, 27471 08/122024 1.60 Cum Yield -
3.436%
100.000 / 3.350 %
100.000
$2,631
(2.5%)
Death Put I I AXP I Semi -Annual Pay
20772,13,19
570 xxxxxx9707
Aa3/AA-
CONNECTICUT ST 2.400% 96.448 Maturity 08/15/2024
4.601 % (w)
4.601 %
4.601% 07/11/2019
$568,906
$549,754
($19,152)
Muni
3.20% Held
(Aa3/-)
08/152024 1.62 Cur -Yield -
2.488%
99.808 / 2.440%
99.808
$4,180
(3.4%)
Material Events I Federally Taxable I S&P Outlook Stable I General Obligation I Government I Semi -Annual Pay
3134GXR22
500 xxxxxx9707
Aaa/AA+
FEDERAL HOME LN MTG CORP 3.250% 99.196 Next Call 02/28/2023
6.667%
6.667%
6.667% 08/30/2022
$500,000
$495,980
($4,020)
Agy
z81% Held
08/282024 0.96 Mid Call 11/28/2023
4.649% (w)
4.649%
4.649% 100.000 / 3.250 %
100.000
$181
(0.8%)
Maturity 08/28/2024
5.352%
5.352%
5.352%
Cur -Yield -
3.276%
S&P Outlook Stable I Short First Coupon I FHLMC I Multi -Step Coupon 3.25% until 0212812023, 3.5% until 0512812023, 4.0% until 08/282023, 4.5%until 1112812023, 5.0% until 022812024, 6.0% un8105/28/2024,
then 8.0% 1 Quarledy Pay
64971QJ38
500 xxxxxx9707
Aal/AAA
NEW YORK N Y CITY 2.600% 96.263 Next Call 01/01/2023
55.808%
55.808%
55.808% 05/09/2017
$486,750
$481,315
($5,435)
Muni
281% Held
(Aai/--)
TRANSITIONAL FIN AUTH REV 11/01/2024 1.82 Maturity 11/01/2024
4.671%(w)
4.671%
4.671% 97.350 / 2.998%
97.350
$1,228
(1.1%)
Cur -Yield -
2.701%
Material Events I Federally Taxable I S&P Outlook Stable I Revenue I Government I Semi -Annual Pay
564759RJ9
244 xxxxxx9707
-/-
MANUFACTURERS & TRADERS TR 4.900% 99.917 Maturity 12/09/2024
4.944% (w)
4.944%
4.944% 12/07/2022
$244,000
$243,797
($203)
CD
1.37% Held
CO 12/092024 189 Cur -Yield -
4.904%
100.00014.900%
100.000
$0
(0.1%)
FDIC Cart A, 588
Death Put I I MTB I Semi -Annual Pay I Restricted States: CT,DE,MA,MD,ME,NH,NJ,NY,PA,VA,VT
Includes all tax lot holdings with nscognized CUSIP. For
preferred securities, # of shares is displayed instead of current face value, which is represented in thousands (000).
The (w) in the Yield column indicates which yield value is the Yield to Worst (YT149.
Duration figure represents modified duration to worst.
ATY/TEY calculations use a Fed Tax rate of 0.00%, a Cap Gains Tax rate of 0.0091, a State of WA, and a State Tax rate of WA.
Page 8 of 24
PPENHEIMEK
Position Details (continued...)
CITY OF HUTCHINSON
report as of 1210112022
XXXXXX9707
Position
Details
CUSIP
Curr Face Account #
Mdy / S&P
Coupon Mkt Px
Acq Date
Tot Adj Cost Mkt Principal
Unreal GIL
Asset
% Port Held
(Underlying)
Issue Description Maturity Duration Px To Date
Yield
ATY TEY
Acq Px / Yid
Adj Cost Px
Accr Int
% Adj Cost
795451 BAO
245 xxxxxx9707
4-
SALLIE MAE BK MURRAY UTAH 1.000% 92.465 Maturity 12116/2024
4.941 % (w)
4.941 % 4.941 %
12/15/2021
$245,000
$226,539
($18,461)
Co
1.37% Held
FDIC Cart #: 58177 12/16/2024 1.96 Cum Yield -
1.081%
100.000/1.000%
100.000
$1,161
t7.5o.1
Death Put I I SALLMA I Semi -Annual Pay I Restricted States: OH TX
287299MR9
150 xxxxxx9707
-/AA+
ELK GROVE VILLAGE ILL 1.000% 92.987 Maturity 01/01/2025
4.586% (w)
4.586% 4.586%
11/01/2021
$150,000
$139,480
($10,520)
Muni
0.84% Held
(-/-)
01/012025 2.00 Cum, Yield -
1.075%
100.000 / 1.000%
100.000
$642
(7.0%,
Federally Taxable I Stale Taxable I S&P Outlook Stable I General Obligation I Government I Semi -Annual Pay
6860871.188
355 xxxxxx9707
Aa2/-
OREGON ST HSG & CMNTY SVCS 4.659% 99.532 Maturity 01/01/2025
4.897% (w)
4.897% 4.897%
10/27/2022
$354,677
$353,339
($1,338)
Muni
1.99% Held
(Aa2/--)
DEPT MTG REV 01/012025 1.94 Curr Yield -
4.681%
99.909 / 4.700%
99.909
$1,746
(0.4%)
Material Events I Federally Taxable I Short First Coupon I Extraordinary Calls I Revenue I Housing I Semi -Annual Pay
696583GV9
460 xxxxxx9707
Aal/AAA
PALM BEACH FLA REV 2.500% 96.032 Maturity 01/01/2025
4.527% (w)
4.527% 4.527%
01/08/2020
$464,172
$441,747
($22,425)
Muni
2-58% Held
(Aai/--)
01/012025 1.96 Curr Yield -
2.603%
102.12012.050%
100.907
$4,919
(4.8%)
Material Events I Federally Taxable I Moody's Watch Positive I S&P Outlook Stable I Revenue I Government
I Semi -Annual Pay
59013KFJO
245 xxxxxx9707
-/-
MERRICK BK SOUTH JORDAN 1.800% 93.599 Maturity 01/31/2025
4.932% (w)
4.932% 4.932%
01/31/2020
$245,000
$229,318
($15,682)
Co
1.37% Held
UTAH 01/312025 2.10 Cun-Yleld -
1.923%
100.000/1.800%
100.000
$60
(8.4%)
FDIC Cart #: 34519
Death Put I I MERICK I Monthly Pay I Restricted States: OH,TX
16166NCL7
300 xxxxxx9707
-/AA-
CHASKA MINN ECONOMIC DEV 3.430% 97.065 Maturity 02101/2025
4.879% (w)
4.879% 4.879%
02/03/2020
$310,287
$291,195
($19,092)
Muni
1.68% Held
1-0
AUTHLEASE REV 02/012025 2.02 Curr Yield -
3.534%
107.752 / 1.800%
103.429
$3,544
(8.2%)
Material Events I Federally Taxable I State Taxable I S&P Outlook Stable I Revenue I Industrial I Semi -Annual Pay
927781 UZ5
570 xxxxxx9707
Aal/AA+
VIRGINIA COLLEGE BLDG AUTH 4.250% 98.354 Maturity 02101/2025
5.063% (w)
5.063% 5.063%
09/26/2022
$570,000
$560,618
($9,382)
Muni
3.20% Held
(Aai/--)
VAEDL FACS REV - 21 ST CENTURY 02/012025 2.00 Curr Yield -
4.321%
100.000 / 4.248%
100.000
$8,344
(1.6%)
COLL PROG
Material Events I Federally Taxable I S&P Outlook Stable I DID I Make Whole Call I Extraordinary Calls I Revenue I Education
I Semi -Annual Pay
05465DAE6
245 xxxxxx9707
-/-
AXOS BK SAN DIEGO CALIF 1.650% 92.851 Maturity 03/26/2025
4.935% (w)
4.935% 4.935%
03/26/2020
$245,000
$227,485
($17,515)
Co
1.37% Held
FDIC Cart #: 35546 0326/2025 2.25 Curr Yield -
1.777%
100.000 / 1.650 %
100.000
$100
(7.1%)
Death Put I 1 BOFI I Monthly Pay
59334PJA6 375 xxxxxx9707 -/AA MIAMI-DADE CNTY FLATRAN SYS 0.900% 91.050 Maturity 07/01/2025 4.631% (w) 4.631 % 4.631% 11/23/2021 $373,012 $341,438 ($31,575)
Muni 2.10% Held 1-0 SALES SURTAX REV 07/012025 2.48 Cuff Yield - 0.988% 99.470 / 1.050% 99.470 $1,444 (8.5%)
Material Events I Federally Taxable I S&P Outlook Stable I Revenue I Government I Semi -Annual Pay
Includes all tax lot holdings with recognized CUSIP. For preferred securities, # of shares is displayed instead of current face value, which is represented in thousands (000).
The (w) in the Yield column indicates which yield value is the Yield to Worst (YTW.
Duration figure represents modified duration to worst.
ATY/TEY calculations use a Fed Tax rate of 0.00%, a Cap Gains Tax rate of 0.0091, a State of WA, and a State Tax rate of WA.
Page 9 of 24
PPENHEIMEK Position Details (continued...) CITY OF HUTCHINSON
report as of 1210112022 XXXXXX9707
CUSIP
Curr Face Account #
Mdy / S&P
Coupon
Mkt Px
Acq Date
Tot Adj Cost Mkt Principal
Unreal GIL
Asset
% Port Held
(Underlying)
Issue Description Maturity Duration Px To
Date
Yield
ATY TEY
Acq Px / Yid
Adj Cost Px
Accr Int
% Adj Cost
052405FP7
245 xxxxxx9707
Aa3/AA
AUSTIN TEX CMNTY COLLEGE 0.992%
90.756 Maturity
Oa/01/2025
4.737%(w)
4.737% 4.737%
04/29/2022
$229,482
$222,352
($7,129)
Muni
1-37'y Herd
(A33/-)
DISTPUB FAC CORP LEASE REV 08/012025
2.56 Cum Yield
-
1.093%
93.666 / 3.050%
93.666
$837
(3.1%
Material Events I Federally Taxable I S&P Outlook Stable I Extraordinary Calls I Revenue I Education
Semi -Annual P.,.
34520LAD5
245 xxxxxx9707
-/-
FORBRIGHT BK POTOMAC MD 3.500%
96.340 Maturity
09/16/2025
4.909 % (w)
4.909 % 4.909 %
09/16/2022
$245,000
$236,033
($8,967)
Co
1.37% Held
FDIC Cert A, 57614 09/162025
2.63 Cum Yield
-
3.633 %
100.000 13.500%
100.000
$446
(3.7%)
Death Put I I FORBBK I Monthly Pay
319477AN5
244 xxxxxx9707
-/-
FIRST CTZNS BK & TR CO 4.700%
99.454 Maturity
10/28/2025
4.901 % (w)
4.901 % 4.901 %
10/28/2022
$244,000
$242,668
($1,332)
Co
1-37% Held
RALEIGH 10/28/2025
2.66 Cum Yield
-
4.726%
100.00014.700%
100.000
$1,194
(0.5%)
FDIC Cart A, 11063
Death Put I I FCNCA I Semi -Annual Pay
29278TMJ6
245 xxxxxx9707
-/-
REGIONS BK BIRMINGHAM ALA 2.000%
92.122 Maturity
10/31/2025
4.914% (w)
4.914% 4.914%
10/31/2019
$245,000
$225,699
($19,301)
Co
1.37% Held
FDIC Cert A,57293 10/312025
2.81 Cum Yield
-
2.171%
100.00012.000%
100.000
$67
(7.8%)
Death Put I I RF I Monthly Pay I Restricted States: OH,TX
34387AFF1
245 xxxxxx9707
4-
FLUSHING BANK 4.700%
99.451 Maturity
11/04/2025
4.902% (w)
4.902% 4.902%
11/04/2022
$245,000
$243,655
($1,345)
Co
1.37% Held
FDIC Cert A, 58564 11/04/2025
2.71 Cuff Yield
-
4.726 %
100.000 14.700%
100.000
$631
(0.5%)
Short First Coupon I Death Put I I FFIC I Murdily Pay
02007GC68
244 xxxxxx9707
4-
ALLY BK SANDY UTAH 4.800%
99.723 Maturity
11/10/2025
4.900% (w)
4.900% 4.900%
11/10/2022
$244,000
$243,324
($676)
Co
1.37% Held
FDIC Cert A, 57803 11/102025
2.69 Cum Yield
-
4.813%
100.000 14.800%
100.000
$802
(0.3%)
Death Put I I GMATBK I Semi -Annual Pay
47770VBF6
310 xxxxxx9707
Aa3/AA+
JOBSOHIO BEVERAGE SYS OHIO 2.034%
92.198 Maturity
01/01/2026
4.795% (w)
4.795% 4.795%
04/29/2022
$298,815
$285,814
($13,001)
Muni
1.74% Held
(Aa3l-)
STATEWIDE LIQUOR PROFITS REV 01/012026
2.89 Cum Yield
-
2.206%
96.392 / 3.080%
96.392
$2,697
(4.4%)
Federally Taxable I S&P Outlook Stable I Make Whole Call I
Pro -Rats I Revenue I Industrial I Semi -Annual
Pay
676553BUl
300 xxxxxx9707
Aa2/AA+
OKLAHOMA CITY OKLA ECONOMIC 1.118%
89.592 Maturity
03/01/2026
4.614% (w)
4.614% 4.614%
02/10/2022
$292,833
$268,776
($24,057)
Muni
1.68% Held
(Aa2/--)
DEV TR TAX APPORTIONMENT- 03/012026
3.10 Cur -Yield
-
1.248%
97.611/1.730%
97.611
$876
(8.2%)
INCREMENT DIST NO 8 PROJ
Material Events I Federally Taxable I S&P Outlook Stable I Make Whole Call I Revenue
I Government
I Semi -Annual Pay
6500354W5
190 xxxxxx9707
Aal/AA+
NEW YORK ST URBAN DEV CORP 3.170%
95.836 Maturity
03/15/2026
4.550% (w)
4.550% 4.550%
08/30/2022
$187,925
$182,088
($5,837)
Muni
1.07% Held
(Aa1/-)
REV 03/1&2026
3.04 Cum Yield
-
3.308%
98.908 / 3.500%
98.908
$1,338
(3.1%)
Material Events I Federally Taxable I S&P Outlook Stable I Eso to Mat I Make Whole Call I Revenue I Government I Semi -Annual Pay
Includes all tax lot holdings with recognized CUSIP. For preferred securities, # of shams is displayed instead of current face value, which is represented in thousands (000).
The (w) in the Yield column indicates which yield value is the Yield to Worst (YTM9.
Duration figure represents modified duration to worst.
ATY/TEY calculations use a Fed Tax rate of 0.00%, a Cap Gains Tax rate of 0.0091, a State of WA, and a State Tax rate of WA.
Page 10 of 24
PPENHEIMEK Position Details (continued...)
report as of 1210112022
CITY OF HUTCHINSON
XXXXXX9707
CUSIP
Curr Face Account #
Mdy / S&P
Coupon Mkt Px
Acq Date
Tot Adj Cost Mkt Principal
Unreal GIL
Asset
% Port Held
(Underlying)
Issue Description Maturity Duration Px To
Date Yield
ATY TEY
Acq Px / Yid
Adj Cost Px
Accr Int
% Adj Cost
032879UV8
500 xxx>ocr9707
-/AA
ANCHOR BAY MICH SCH DIST 1.250% 89.049 Maturity
05/01/2026 4.772% (w)
4.772% 4.772 %
07/16/2020
$502,160
$445,245
($56,9 t +1
Muni
2.81% Held
05/012026 3.26 Cur, Yield
- 1.404%
100.726/1.120%
100.432
$590
Material Events I Federally Taxable I S&P Outlook Stable I General Obligation I Education I Semi -Annual Pay
71884AH28
135 xxx>ocr9707
Aa2/AAA
PHOENIX ARIZ CIVIC IMPT CORP 1.157% 89.139 Maturity
07/01/2026 4.481%(w)
4.481% 4.481%
12/14/2021
$134,150
$120,338
($1 f-812)
Muni
0.76% Held
(Aa2/--)
EXCISE TAX REV 07/012026 3.41 Cur -Yield
- 1.298 %
99.370 / 1.300%
99.370
$668
(10.3%
Material Events I Federally Taxable I S&P Outlook Stable I Make Whole Call I Revenue I Government I Semi -Annual Pay
89235MLD1
245 xxx>ocr9707
-/-
TOYOTA FINL SVGS BK HEND NV 0.950% 87.049 Maturity
07/22/2026 4.885% (w)
4.885% 4.885%
07/22/2021
$245,000
$213,270
($31,730)
Co
1.37% Held
FDIC Cart A, 57542 07222026 3.48 Cur -Yield
- 1.091 %
100.000 / 0.950 %
100.000
$867
(13.0%)
Death Put I I TOYFBN I Semi -Annual Pay I Restricted States: OH,TX
798306WO5
140 xxx>ocr9707
Aa2/-
SAN JUAN CALIF UNI SCH DIST 1.201% 87.919 Maturity
08/01/2026 4.847% (w)
4.847 % 4.847 %
11/12/2021
$140,000
$123,087
($16,913)
Muni
0.79% Held
(Aa2/--)
08/012026 3.48 Cur -Yield
- 1.366%
100.000/1.201%
100.000
$579
(12.1%)
Federally Taxable I Make Whole Call I General Obligation I Education I Semi -Annual Pay
3130APC45
500 xxx>ocr9707
Aaa/AA+
FEDERAL HOME LOAN BANKS 1.180% 88.639 Next Call
12/26/2022 193.331 %
193.331 % 193.331 %
10/26/2021
$500,000
$443,195
($56,805)
Agy
2-81% Held
10/262026 3.73 Maturity
10/26/2026 4.380% (w)
4.380% 4.380%
100.000 / 1.180%
100.000
$590
(11.4%)
Cur -Yield
- 1.331%
Moodys Outlook Stable I S&P Outlook Stable I FHLB I Semi -Annual Pay
71884AH36
175 xxx>ocr9707
Aa2/AAA
PHOENIX ARIZ CIVIC IMPT CORP 1.257% 86.705 Maturity
07/01/2027 4.507% (w)
4.507% 4.507%
04/01/2022
$161,088
$151,734
($9,354)
Muni
0.98% Held
(Aa2/--)
EXCISE TAX REV 07/012027 4.32 Cur -Yield
- 1.450%
92.050 / 2.900 %
92.050
$941
(5.8%)
Material Events I Federally Taxable I S&P Outlook Stable I Make Whole Call I Revenue I Government I Semi -Annual Pay
87165GV25
245 xxx>ocr9707
-/-
SYNCHRONYBANK 3.500% 94.144 Maturity
09/09/2027 4.890% (w)
4.890% 4.890%
09/09/2022
$245,000
$230,653
($14,347)
Co
1.37% Held
FDIC Cart A, 27314 09/092027 4.27 Cur -Yield
- 3.718 %
100.000 / 3.500%
100.000
$2,044
(5.9%)
Death Put I I SYF I Semi -Annual Pay
2546732131
242 xxxxxx9707
-/-
DISCOVER BK 4.900% 100.000 Maturity
11/30/2027 4.900% (w)
4.900% 4.900%
11/30/2022
$242,000
$242,000
$0
CO
1.36% Held
FDIC Cart A, 5649 111302027 4.37 Cur -Yield
- 4.900%
100.000 / 4.900%
100.000
$162
0.0%
Death Put I I DFS I Semi -Annual Pay
721664J1-5
1,000 xxx>ocr9707
-/AA-
PIMA CNTY ARIZ CTFS PARTN 5.382% 100.648 Maturity
12/01/2027 5.233% (w)
5.233% 5.233%
11/17/2022
$1,014,460
$1,006,480
($7,980)
Muni
5.61% Held
(-/-)
12/012027 4.32 Cur -Yield
- 5.347%
101.45815.050%
101.446
$2,691
(0.8%)
Federally Taxable I Stale Taxable I S&P Outlook Stable I Long First Coupon I Extraordinary
Calls I Certificate of Participation I Government I Semi -Annual Pay
Includes all tax lot holdings with recognized CUSIP. For
preferred securities, # of shares is displayed instead of current face value, which is represented in thousands (000).
The (w) in the Yield column indicates which yield value is the Yield to Worst (YTM9.
Duration figure represents modified duration to worst.
ATY/TEY calculations use a Fed Tax rate of 0.00%, a Cap Gains Tax rate of 0.0091, a State of WA, and a State Tax rate of WA.
Page 11 of 24
r ppENHEIMEK
Coupon Cash Flow - Year 1
CITY OF HUTCHINSON
report as of 1210112022
XXXXXX9707
Coupon Cash Flowby
•'
Time
Period: 1210112022 - 1113012023
Dec'22 Jan'23
Feb'23
Mar'23
Apr23
May'23
Jun'23 Jul'23
Aug'23
Sep'23
Oct'23
Nov'23
Dac23 Total %Tot
Agency
$4,062
$2,950
$4,375
$5,000
$2,950
$5,625
$24,962 6.1
Agency Pass-Thru
-
-
-
-
-
-
- -
Asset -Backed
-
-
-
-
-
-
- -
CD $12,463 $17,527
$13,306
$10,886
$12,289
$22,410
$17,602 $14,900
$11,400
$9,583
$10,236
$20,850
$173,451 42.3%
CMO - -
-
-
-
-
- -
-
-
-
-
- -
Corporate -
-
-
-
- -
-
-
-
- -
Muni: Fed Tax - $18,001
$42,813
$6,284
$13,741
$29,003 $23,330
$42,813
$6,284
$13,741
$196,010 47.8%
Muni: Tax -Exempt $688 -
-
$7,275
-
$688 -
-
$7,275
-
$15,925 3.9%
Muni: Subj AMT -
-
-
-
- -
Pfd: Fed Tax
Pfd: Tax -Exempt
Pfd: Cap Gains
Treasury
Total $13,151 $35,528
$60,181
$24,444
$15,239
$40,526
$47,293 $38,231
$59,213
$23,141
$13,186
$40,216
$410,348100.0%
Fed Tax -Exempt
I $688 -
-
$7,275
-
-
$688 -
-
$7,275
-
-
$15,925 3.9
Fed Taxable
++ $12,463 $35,528
$60,181
$17,169
$15,239
$40,526
$46,605 $38,231
$59,213
$15,866
$13,186
$40,216
-I
$394,423 96.1
Subj to Cap Gains
Subj to AMT
Fed Tax -Exempt 0 Fed Taxable 0 Subj to Cap Gains 0 Subj to AMT
$54,000
$45,000
$36,000
$27,000
$18,000
$9,00
$0
Dec'22 Jan'23 Feb'23 Mar'23 Apr23 May'23 Jun'23 Jul'23 Aug23 Sep'23 Oct'23 Nov'23 Dec'23
Includes all tax holdings with recognized CUSIP, quantity, market price and full analytical calculations on reporting date. Includes coupon cash Mows for the next 12 months, from 1210112022 to 11/30/2023. Totals are the sum of rounded displayed
values. The cash flows displayed are only estimates. Your actual interest and principal payments may be higher or lower than these estimates. Projected Principal Paydowns for CMOs are produced by applying current pool speeds which are updated
weekly. Assuming similar market conditions going forward, Projected Principal Paydowns for Pass-Thru securities are produced by calculating and applying concurrent historical speeds to future paydown schedules.
Page 12 of 24
PPENHEIMEK Maturity & Duration - All CITY OF HUTCHINSON
report as of 1210112022 XXXXXX9707
a
40% m
0
e
20% m
d�
e
m I0%
Ory'l.O.tn)O.tpOryy OtibOti� Ory00ryoi0,�00,'y0,'1.O,�n�O.ADO,�yO,(�0,,10,,00,,oiObOObyOp'l.Obn�ObbObaJOpbOb'\ Ob00p00y00y'11xy�e\
Qe
60%
0
a
40%
a
20% a0
� m
.a
0% II
O~ Oti O� Ob Oh 06 01 00 gi ,ti0 ,ti'1 ,ti'L ,ti'� ,tib ,tih ,ti6 ,tit ,ti0 '1A .10 .1'1 .1'L .1'� ryb .1h ,y6 .11 .y0 .10 .�O Ox
00 o'ti o1: o� oD/ oy rid o't' 00 gi' ,tio ,tiff ,tiff ,ti'Y ,tiD: ,tih' ,tiH ,tit' ,ti0 ,tioi' ,yo' .yti .yti .y^i ,0D .yh' ,lyd tit' ,y0 ,t0' 'S
Displays represent % ofmarket principal for all tax lot holdings with a recognized CUSIP, quantity, Current market price and full analytical
wiculations. Average Ilfe used for principal paydowns, and perpetual securities are assigned a 40 year maturity. Duration figure
represents modified duration to worst.
Year
2022
2023
2024
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
2035
2036
2037
2038
2039
2040
2041
2042
2043
2044
2045
2046
2047
2048
2049
2050
2051
2052+
Perpetual
Page 13 of 24
Curr Face
$150,000 0.84%
$2,755,000 15.46%
$6,769,000 37.98%
$4,168,000 23.38%
$2,320,000 13.02%
$1,662,000 9.32%
Mkt Principal
%
Range
$150,000
0.88%
00-01
$2,718,519
15.88%
01-02
$6,541,291
38.21%
02-03
$3,998,350
23.35%
03-04
$2,081,812
12.16%
04-05
$1,630,867
9.53%
05-06
06-07
07-08
08-09
09-10
10-11
11-12
12-13
13-14
14-15
15-16
16-17
17-18
18-19
19-20
20-21
21-22
22-23
23-24
24-25
25-26
26-27
27-28
28-29
29-30
30+
Curr Face
%
Mkt Principal
$3,160,000
17.73%
$3,125,208
18.25%
$7,329,000
41.12%
$7,079,688
41.35%
$3,513,000
19.71%
$3,349,598
19.56%
$2,010,000
11.28%
$1,795,999
10.49%
$1,662,000
9.32%
$1,630,867
9.53%
FR
Fs HUTCHINSON CITY COUNCIL
HUTCHINSOt Request for Board Action
A CITY ON PURPOSE.
2022 annual report for the Residential Leaf Vacuum service
Agenda Item:
Department: PW/Eng
LICENSE SECTION
Meeting Date: 12/27/2022
Application Complete N/A
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff ❑
Governance
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
2022 was the 13th year of the Residential Leaf Vacuum service. There were no s!,1- iiF-c n,
interruptions due to snow or inclement weather this year.
We saw an increase in the total tons and total loads of leaves hauled.
Cost per house is approximately $30.
BOARD ACTION REQUESTED:
None. 2022 annual report for Residential Leaf Vacuum service
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: New Bu
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source: N/A
FEE
11 UTCH I H St
A CITY ON PURPOSE.
December 27, 2023
City of Hutchinson
Public Works Department
Operations & Maintenance
1400 Adams St SE
Hutchinson, MN 55350
Phone (320) 234-4219 Fax (320) 234-6971
To: Honorable Mayor & City Council members
From: John Olson, Public Works Manager
CC: Matt Jaunich, City Administrator
Kent Exner, DPW/City Engineer
Subject: Residential Leaf Vacuum Service - 2021 Service Report
Tons & Loads
2022 was the 13th year of the residential leaf vacuum service program. In 2022, there was no
sustained interruption of service due to snow or inclement weather. The last time that
happened was in 2020 (2.6 of 6 weeks complete) and 2014 (4.1 of 6 weeks complete).
In reviewing trends, this service has settled into a fairly predictable norm. Both tons and loads
hauled have plateaued in recent years. Tons increased by 17% in 2022. Loads hauled increased
by 15%.
1,000
900
800
700
600
500
400
300
200
100
2013-2022 Residential Leaf Vacuum Service
TONS
LOADS
875.3
134.9 � •5 777.0
709.9
680.4
2013 2014 2015 2016 2017 2018 2019 2020 2021 2022
Snow .1w
Operations
To make operations as safe as possible, all units are equipped with mirrors, backup cameras and
warning signs. All of the leaf vacuums are equipped with top exhaust hoods, making them as
narrow as possible and as easy as possible to see around. There were no accidents in 2022.
In 2022, there was 6.25 hours of overtime by operators.
The last leaf vacuum was replaced in 2021. One old vacuum is retained as a spare. Having a
spare vacuum is critical, since there are always service or repair issues that affect at least one of
the other vacuums. This year, the spare unit was used for 3 days, while one of the primary units
was being repaired. Having a spare unit allows operators to continue providing service in a
timely manner when one of the primary leaf vacuums is unavailable.
Again, a few homes were notified to remove leaves from the street after the service period
ended. Operators place a notice requiring the property owner to remove leaves within a few
days. Most homeowners remove the leaves in a timely manner. If we do have to clean the
leaves up, we keep track of those costs and provide that information to the finance department.
Cost of service
In the future, I recommend the City consider a phased approach to collect revenue to offset the
cost of this service. The cost of service is approximately $30 per residence. It would take a
charge of about $2.50 per month to cover the service's costs. These funds collected to cover the
program's cost would free up over $125,000 per year that should be directed to storm water
system maintenance.
I recommend adding $0.50/month to stormwater fees collected in the years 2024 — 2028.
Conclusion
I would like to thank Public Works staff for their efforts to make this a highly valued service. In
particular, I'd like to recognize James Trnka, Mitchell Thompson and Nick Pagel, who spent, by
far, the most time behind the wheel of a tractor/vacuum unit. I appreciate the ongoing efforts
by all of the Public Works staff to get better and better at providing this valued service. Plans
are to continue this service into the foreseeable future unless directed otherwise by the City
Council.
Primary Equipment
STWT-524-HEQ 2020
REFS-104-HEQ 2018
STWT-106-HEQ 2018
STWT-184-HEQ (spare) 2013
STWT-524-TRC 2021
STWT-104-TRC 2021
STWT-106-TRC 2021
ODB
Leaf vacuum, self-contained
Diesel
ODB
Leaf vacuum, self-contained
Gasoline
ODB
Leaf vacuum, self-contained
Gasoline
ODB
Leaf vacuum, self-contained
Diesel
John Deere
Tractor, 6145R
John Deere
Tractor, 6145R
John Deere
Tractor, 6145R
There are two leaf vacuums scheduled for replacement in 2025. The anticipated cost is $114,000
per unit.
Three tractors are leased each season to tow the leaf vacuums. The standard rental per tractor
is based on 200 hours/year for leaf vacuuming and 100 hours/year for snow removal. Hours in
excess of 300 are paid on an hourly basis, as necessary.
Other Equipment
STW7-879-HTK 2003 Sterling Truck w/ Vac -All (vacuum sweeper)
STWT-496-TK1 2019 Elgin Broom Badger sweeper (mechanical sweeper)
The Sterling Vac -All truck is used periodically throughout the year. As a vacuum sweeper, it is
more efficient at picking up lighter, organic materials such as seeds, twigs and leaves. The Vac -
All has a 13 cubic yard debris body. It is typically used during the pre -season and later in the
season to cleanup before the season ends.
The Elgin mechanical sweeper is more efficient at picking up heavier materials, such as dirt and
aggregates, so it isn't used as much during leaf season. It is used to address areas with
significant aggregate material. The mechanical sweeper has a hopper capacity of only about 3
cubic yards.
The future plan is to purchase a large, truck -mounted regenerative air street sweeper and a
wheel loader -mounted pickup broom to fill the roles of both the Vac -All and Elgin. This is
anticipated to take place in 202Z
RESIDENTIAL LEAF VACUUM SERVICE
ANNUAL SERVICE REPORT
Service period
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
Service began
10/11/22
10/12/21
10/13/20
10/15/19
10/09/18
10/10/17
10/11/16
10/13/15
10/14/14
10/15/13
Service ended
11/21/22
11/22/21
11/23/20
11/25/19
11/19/18
11/20/17
11/21/16
11/23/15
11/07/14
11/25/13
Weeks of service
6
6
2.6
6
6
6
6
6
4.1
6
Loads Hauled
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
STWT-524-HEQ
ODB Leaf Vacuum
91
66
4
-
7
75
79
71
88
105
STWT-014-HEQ
ODB Leaf Vacuum
-
-
-
89
89
83
77
115
STWT-104-HEQ
ODB Leaf Vacuum
65
67
49
83
58
STWT-106-HEQ
ODB Leaf Vacuum
76
54
so
73
68
STWT-184-HEQ
ODB Leaf Vacuum
6
7
53
87
82
70
70
70
74
47
STWT-024-HEQ
Challenger Sweeper
-
-
-
-
-
2
5
-
-
4
STWT-879-HTK
Vac -All Sweeper
21
31
30
13
10
53
14
9
-
84
Total Loads Hauled
259
225
186
256
225
289
257
233
239
355
15%
21%
-27%
14%
-22%
12%
1096
-3%
-33%
6%
Tons Hauled
5TWT-524-HEQ
ODB Leaf Vacuum
275.5
191.8
11.8
-
23.3
211.4
244.4
258.5
229.2
321.1
STWT-014-HEQ
ODB Leaf Vacuum
-
-
-
-
-
213.6
207.6
241.9
197.0
306.5
STWT-104-HEQ
ODB Leaf Vacuum
170.9
192.1
173.6
251.4
186.2
-
-
-
STWT-106-HEQ
ODB Leaf Vacuum
219.7
151.4
184.6
249.5
239.9
-
-
-
-
-
STWT-184-HEQ
ODB Leaf Vacuum
15.8
37.4
176.4
255.4
263.0
173.4
189.1
219.4
168,0
139.5
STWT-024-HEQ
Challenger Sweeper
-
-
-
9.8
8.1
-
16.8
STWT-879-HTK
Vac -All Sweeper
28.1
35.7
48.6
20.7
30.6
115.3
31.2
15.1
-
91.4
Total Tons Hauled
709.9
608.4
595.0
777.0
743.0
723.5
680.4
734.9
594.2
875.3
1796
2%
-23%
5%
3%
6%
-7%
24%
-32%
12%
RESIDENTIAL LEAF VACUUM SERVICE
ANNUAL SERVICE REPORT
2022
2021 2020 2019
2018
2017
2016 2015
2014
2013
Regular Hours
592.00
626.50 347.50 518.50
477.75
482.50
563.50 596.00
450.25
727.00
Overtime Hours
6.25
- - 13.50
-
7.00
- 2.00
18.50
14.50
Total Hours
598.25
626.50 347.50 532.00
477.75
489.50
563.50 598.00
468.75
741.50
Regular Pay
15,631.54
17,635.51
9,160.46
12,764.54
11,507.42
11,854.77
14,197.39
14,423.15
9,938.32
16,215.78
Overtime Pay
248.06
-
-
486.58
-
251.21
-
57.76
734.77
494.74
Total Direct Labor
15,879.60
17,635.51
9,160.46
13,251.12
11,507.42
12,105.98
14,197.39
14,480,91
10,673.09
16,710.52
Indirect Labor Regular)
8,682.76
7,813.83
3,260.40
4,351.66
5,609.86
5,779.20
6,921.23
6,561.97
4,526.80
7,905.19
Indirect Labor (Overtime)
-
-
-
104.02
-
56.77
-
13.05
166.06
111.81
Total Indirect Labor
8,682.76
7,813.83
3,260.40
4,455.68
5,609.86
5,835.97
6,921.23
6,575.02
4,692.86
8,017.00
Total Labor
24,562.36
25,449.34
12,420.86
17,706.80
17,117.28
17,941.95
21,118.62
21,055.93
15,365.95
24,727.52
Direct & Indirect Labor- Per Hour
41.06
40.62
35.74
33.28
35.83
36.65
37.48
35.21
32.78
33.35
RESIDENTIAL LEAF VACUUM SERVICE
ANNUAL SERVICE REPORT
2021
Hours
Repairs
Fuel
Operating
Refurbish
Capital
Total
2009 ODB Leaf Vacuum (013/524)"
106.0
2,080.00
1,122.55
3,202.55
-
3,202.55
2019 ODB Leaf Vacuum (104)•
99.0
3,708.33
1,490.00
5,198.33
4,100.00
12,500.00
21,798.33
2018 ODB Leaf Vacuum (106)'
98.0
853.38
1,450.46
2,303.84
4,100.00
12,500.00
18,903.84
2013 ODB Leaf Vacuum (184)•
17.0
1,389.80
246.69
1,636.49
4,100.00
12,500.00
18,236.49
John Deere Tractors (rented, 3 ea. @ $6,000/season)"
469.0
50.00
5,912.44
5,962.44
18,000.00
23,962.44
LEAF VACUUMS
799.0
8,081.51
10,222.14
19,303.65
12,300.00
55,500.00
86,103.65
109.13
(0.03)
2003 Sterling/Vac-All'
66.0
2,079.00
571.44
2,650.44
-
12,500.00
15,150.44
75.0%=
1,559.25
428.58
1,987.83
-
9,375.00
11,362.83
2019 Elgin SweeperW
54.0
762.00
162.24
924.24
-
22,000.00
22,924.24
16.7%=
127.25
27.09
154.35
-
3,674.00
3,828.35
SWEEPERS
120.0
1,686.50
455.67
2,242.18
-
13,049.00
1s,191.18
Total Equipment Operating 32,745.83
909.0
9,768.01
10,677.81
20,445.83
12,300.00
68,549.00
101,294.93
Cost per hour Capital 68,549.00
-
Cost per hour
111.44
Leaf Vacuums ($I00,000 replacement cost-8 years); Tractor rent per year, -
Vac -Aft ($225Kreplacement cost=ISyears) (assume 75%for leafseason); '"Sweeper
($220Kreplacement cost -10years) (assume 16.7%for 2of12months)
RESIDENTIAL LEAF VACUUM SERVICE
ANNUAL SERVICE REPORT
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
Direct labor
15,879.60
17,635.51
9,160.46
13,251.12
11,507.42
12,105.98
14,197.39
14,480.91
10,673.09
16,710.52
Indirect labor
8,682.76
7,813.83
3,260.40
4,455.68
5,609.86
5,935.97
6,921.23
6,575.02
4,692.86
8,017.00
Equipment operating costs
32,745.83
25,590.38
17,629.75
29,203.42
32,745.83
30,120.66
32,745.83
18,223.20
9,993.90
12,967.80
Equipment capital costs
68,549.00
68,549.00
68,549.00
68,549.00
68,549.00
83,252.38
68,549.00
68,549.00
78,747.00
60,211.00
Total program costs
125,857.18
119,588.72
98,599.61
115,459.22
118,412.11
131,314.99
122,413.45
107,828.13
104,106.85
97,906.32
5%
21%
-15%
-2%
-10%
7%
14%
4%
6%
-4%
Cost per load
485.94
531.51
530.11
451.01
526.28
454.38
476.32
462.78
435.59
275.79
Cost per ton
177.29
196.56
165,71
148.61
159.37
181.50
179.92
146.72
175.21
111.85
Cost per hour
210.38
190.88
283.74
217.03
247.85
268.26
217.24
180.31
222.09
132.04
Cost per curb mile
175 est. 719.18
693.36
563.43
659.77
676.64
750.37
699.51
616.16
594.90
559.46
Cost per house
4,260 est. 29.54
28.07
23.15
27.10
27.80
30.83
28.74
25.31
24.44
22,98
Cost per week
20,976.20
19,931.45
37,922.93
19,243.20
19,735.35
21,885.83
20,402.24
17,971.36
25,570.10
16,317.72
1,000
900
800
700
600
500
400
300
200
100
2013-2022 Residential Leaf Vacuum Service
_7410 777.0 _
- 7
680.4 09.9
2..... ....... ff ........ s-95:0.... 6.w.*..... ...
289
a. --27 S
2013 2014 2015 2016 2017 2018
59
2019 2020 2021 2022