08-30-2023 HUCCPHUTCHINSON UTILITIES COMMISSION
AGENDA
REGULAR MEETING
August 30, 2023
3:00 p.m.
1. CONFLICT OF INTEREST
2. APPROVE CONSENT AGENDA
a. Approve Minutes
b. Ratify Payment of Bills
3. APPROVE FINANCIAL STATEMENTS
4. OPEN FORUM
5. COMMUNICATION
a. City Administrator
b. Divisions
C. Human Resources
d. Legal
e. General Manager
6. POLICIES
a. Review Policies
i.
Hutchinson Utilities Commission
ii.
Establishing a New Electric/Natural Gas Account
iii.
Deposit Requirement — Residential
iv.
Deposit Requirement — Commercial/Industrial
v.
Terminating Electric/Natural Gas Service by Customer
vi.
Definition of Your Bill
vii.
Payment of Your Bill
viii.
Automatic Bill Payment Plan
ix.
Budget Payment Plan
x.
Explanation of Billing Procedure
xi.
Disconnection of Residential Services by HUC
xii.
Disconnection of Commercial Services by HUC
xiii.
Landlord Acknowledgment
xiv.
Inserts with Utility Bills
xv.
Identity Theft — "Red Flag Program"
xvi.
Minnesota Cold Weather Rule
xvii.
Minnesota Government Data Practices Act and Public Records
Request
b. Approve Changes
i. Errors in Billing
ii. After Hours Reconnection Policy
7. UNFINISHED BUSINESS
8. NEW BUSINESS
9. ADJOURN
MINUTES
Regular Meeting — Hutchinson Utilities Commission
Wednesday, July 26, 2023
Call to order — 3:00 p.m.
President Anthony Hanson called the meeting to order. Members present: President
Anthony Hanson; Secretary Don Martinez; Commissioner Robert Wendorff;
Commissioner Kathy Silvernale; Attorney Marc Sebora; GM Jeremy Carter
Absent: Vice President Matt Cheney
1. Conflict of Interest
2. Approve Consent Agenda
a. Approve Minutes
b. Ratify Payment of Bills
Motion by Commissioner Martinez, second by Commissioner Wendorff to Approve
the Consent Agenda. Motion carried unanimously.
3. Approve Financial Statements
Mr. Martig presented the financial statements. Estimate on Transmission was high,
Electric Division Net Profit is $35K higher than statement.
GM Carter noted that Staff is continuing to watch consumption. GM Carter spoke of
the Power Cost Adjustment. Divisions are trending fairly consistent.
Motion by Commissioner Silvernale, second by Commissioner Martinez to Approve
the Financial Statements. Motion carried unanimously.
4. Open Forum
5. Communication
a. City Administrator —Matthew Jaunich —Absent
b. Divisions
i. Dan Lang, Engineering Services Manager — Nothing to report
ii. Dave Hunstad, Electric Transmission/Distribution Manager —Absent
iii. Mike Gabrielson, Production Manager —
1. American Masonry Restoration has been working at Plant 1 on the
tuckpointing. Should be completed in next 3-4 weeks
2. Unit 1 removal is on target for end of August
iv. John Webster, Natural Gas Division Director — Nothing to report
v. Jared Martig, Financial Manager —
1. Amy Rick started in Customer Service
c. Human Resources —Angie Radke —Absent
1
1. Jeremy Carter noted that Mike Lien started on the Natural Gas Meter Side
and Staff is in the process of hiring a Natural Gas Welder Service Person
d. Legal — Marc Sebora — Nothing to Report on legal side. From a City of
Hutchinson side —
1. City Council did approve at last night's meeting to go out for RFP's for the
sale of the old PD property, Emergency Operations Center and the vacant
adjacent lot to the PD.
2. Discussion was held on the Adult Use Cannabis Law that starts next week
e. General Manager — Jeremy Carter
i. EDA meeting recap — Discussion was held on procuring some of the land
next to Rite Way Conveyor
6. Policies
a. Review Policies
i. Section 6 of Exempt Handbook
ii. Section 6 of Non -Exempt Handbook
iii. Appendices of Exempt Handbook
iv. Appendices of Non -Exempt Handbook
b. Approve Changes
i. Appendix B — Exempt
Want to standardize and keep consistent with other policy updates that were
modified from 9 months' probation to 6 months' probation.
Motion by Commissioner Wendorff, second by Commissioner Silvernale to Approve
Policy Change. Motion carried unanimously.
7. Unfinished Business
8. New Business
a. Re -adopt the Data Practices Act & Public Records Request Policy
Mr. Sebora presented Re -adopt the Data Practices Act & Public Records Request
Policy. The State of Minnesota requires that political subdivisions like HUC adopt
a data practices policy, which guides both the HUC and members of the public in
obtaining information from HUC. State of Minnesota also requires that HUC adopt
the data practices policy annually prior to August 1. There are no changes.
A motion by Commissioner Silvernale, second by Commissioner Wendorff to Re-
adopt the Data Practices Act & Public Records Request Policy. Motion carried
unanimously.
b. Amend Advertisement for Bid — Hutchinson Substation 83 MVA Transformer
2
Mr. Lang presented Amendment of Advertisement for Bid - Hutchinson Substation
83 MVA Transformer. Staff is requesting Board approval to extend the bid opening
date to Sept 7, 2023 at 2pm. This will allow bidders time to submit bids.
Motion by Commissioner Martinez, second by Commissioner Wendorff to Approve
Amendment of Advertisement for Bid - Hutchinson Substation 83 MVA Transformer.
Motion carried unanimously.
c. Approve Rate Changes for the Electric and Natural Gas Divisions
GM Carter thanked the Commission for taking the time and due diligence in looking
at all the rate information that was provided from Utility Financial Services. Many
considerations were discussed relating to ensuring the various components of how
HUC collects revenue through its monthly billing and how it aligns against the fixed
and variable costs of operation.
Based on the Cost of Service results and feedback from the Commission, attached
is a resolution for approval that would continue to move the various classes towards
the cost of service results and continue to align the various revenue components to
the operational cost components for the next 3 years for both Electric and Natural
Gas Divisions. If the resolution is approved, the rate design structures would be
presented to the City Council on August 8tn
Motion by Commissioner Martinez, second by Commissioner Wendorff to Approve
proposed Resolution 23-01 changing the Hutchinson Utilities Commission Rate
Structure for 2023, 2024 & 2025 for Electric and Natural Gas Divisions. Motion
carried unanimously.
Motion by Commissioner Silvernale, second by Commissioner Wendorff to Approve
proposed changes to the Contract Industrial Customers in the Natural Gas Division
as presented by UFS and GM Carter. Motion carried unanimously.
9. Adjourn
There being no further business, a motion by Commissioner Silvernale, second by
Commissioner Wendorff to adjourn the meeting at 3:31 p.m. Motion carried
unanimously.
ATTEST:
Anthony Hanson, President
3
Don Martinez, Secretary
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 1/38
Amount
Fund: 1 ELECTRIC
07/24/2023
GEN
1465(E)
MRES
Purchased Power
401-555-
02
1,053,644.70
07/25/2023
GEN
1482(E)4
ALERUS
HEALTH INSURANCE - B CHATFIELD
401-546-
01
528.40
HEALTH INSURANCE - N NELSON
401-926-
08
362.84
HECK GEN 1482(E) TOTAL FOR FUND 1:
891.24
07/25/2023
GEN
1499(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
2,806.74
07/25/2023
GEN
1500(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
690.74
07/25/2023
GEN
7925314
ACE HARDWARE
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
3.98
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
0.80
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
8.97
Sales Tax Receivable - New
186-000-
00
0.27
Sales Tax Receivable - New
186-000-
00
0.06
Sales Tax Receivable - New
186-000-
00
0.62
Sales Tax Receivable - Replace
186-000-
00
1.01
Sales Tax Receivable - Replace
186-000-
00
0.64
Sales Tax Receivable - Replace
186-000-
00
1.37
Sales Tax Receivable - Replace
186-000-
00
1.03
Generator 41 Material
402-554-
01
19.99
Generator 45 Material
402-554-
01
9.38
Generator 45 Material
402-554-
01
15.00
Generator 47 Material
402-554-
01
14.74
Maintenance Other - Materials
402-554-
01
16.02
Maintenance Other - Materials
402-554-
01
12.74
HECK GEN 79253 TOTAL FOR FUND 1:
106.62
07/25/2023
GEN
792544
AERODERIVATIVE GAS
TURBINE L31967P27 Accelerometer
402-554-
01
4,700.00
FREIGHT
401-588-
02
80.36
HECK GEN 79254 TOTAL FOR FUND 1:
4,780.36
07/25/2023
GEN
79255
ASHTON GREGOIRE
OVERPAYMENTS
142-000-
00
80.58
07/25/2023
GEN
79256*
AVERY, WILLIAM
Cip - Residential
401-916-
07
1,225.00
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
Fund: 1 ELECTRIC
07/25/2023 GEN 7925714 BORDER STATES ELECTRIC SUPPLY
07/25/2023 GEN 79258 BRIAN OR OLIVIA GEPHART
07/25/2023 GEN 79259 BROLL, STEVEN
07/25/2023 GEN 79260*4 CINTAS CORPORATION 4470
07/25/2023 GEN 79261*4 CITY OF HUTCHINSON
07/25/2023 GEN 79262 CROW RIVER FLORAL
07/25/2023 GEN 79263 DANIEL ALVAREZ JR
07/25/2023 GEN 79264 DESIGN ELECTRIC, INC
07/25/2023 GEN 79265 DGR ENGINEERING
Page 2/38
Account Dept
Amount
TAPE, VINYL MASTIC ROLL, 4" x 10 x
154-000-
00
41.53
DISPENSER, TAPE, SLW WRITE -ON WITH SMP
154-000-
00
92.68
CONDUIT, SCH 40, 4" X 10, PVC
154-000-
00
333.65
COUPLING, 4", PVC, CARLON E940N
154-000-
00
27.72
Sales Tax Receivable - New
186-000-
00
34.08
HECK GEN 79257 TOTAL FOR FUND 1:
529.66
OVERPAYMENTS
142-000-
00
186.13
Cip - Residential
401-916-
07
30.00
Uniforms & Laundry
401-550-
01
253.73
UNIFORMS & LAUNDRY
401-588-
02
151.33
HECK GEN 79260 TOTAL FOR FUND 1:
405.06
Generator 41 Water & Sewer
401-547-
01
3,079.65
Generator 41 Water & Sewer
401-547-
01
1,781.40
Waste Disposal
401-550-
01
5,207.81
Waste Disposal
401-550-
01
41.81
Waste Disposal
401-550-
01
577.81
Line - Materials
402-594-
02
145.81
IT ADMIN AND SUPPORT 75/25
401-921-
08
738.89
Utility Expenses - Water/Waste
401-930-
08
17.70
Utility Expenses - Water/Waste
401-930-
08
546.57
HECK GEN 79261 TOTAL FOR FUND 1:
12,137.45
Office Supplies
401-921-
08
57.50
OVERPAYMENTS
** VOIDED **
Maintenance Other - Materials
402-554-
01
11.18
Maintenance Other - Materials
402-554-
01
48.57
HECK GEN 79264 TOTAL FOR FUND 1:
59.75
3M Substation Relay and RTU Upgrades
107-362-
00
3,816.00
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 1 ELECTRIC
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
Hutchinson Substation 115kV rebuild
107-362-
00
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
HECK GEN 79265 TOTAL FOR FUND 1:
07/25/2023
GEN
79266*
ELECTRO WATCHMAN INC
Grounds - Outside Services
401-935-
08
07/25/2023
GEN
79267
FERGUSON ENTERPRISES 4525
VALVE, CHECK, PVC, 1/2"
154-000-
00
07/25/2023
GEN
79268*
FIRST CHOICE FOOD & BEVERAGE
BREAKROOM/RECOGNITION BANQUET
401-926-
08
07/25/2023
GEN
79269
FOSTER MECHANICAL
Generator 47 Material
402-554-
01
07/25/2023
GEN
792704
FS3 INC
INTERDUCT, 2", SIR 13.5 ELK/WITH 3 RED
154-000-
00
INTERDUCT, 2", SIR 13.5 ELK/WITH 3 RED
154-000-
00
ADHESIVE, BONDUIT BULK KIT, BT-KITB6
154-000-
00
Sales Tax Receivable - New
186-000-
00
Sales Tax Receivable - New
186-000-
00
Sales Tax Receivable - New
186-000-
00
FREIGHT
401-588-
02
HECK GEN 79270 TOTAL FOR FUND 1:
07/25/2023
GEN
79271
GENE PETERSON
OVERPAYMENTS
142-000-
00
07/25/2023
GEN
79272
GREAT RIVER ENERGY
TRANSMISSION EXPENSE
401-565-
03
07/25/2023
GEN
79274
HANSON & EASED CONSTRUCTION, INC
UNDERGROUND CONDUCTOR
107-367-
00
07/25/2023
GEN
79275*
HEALTH PARTNERS
HEALTH INSURANCE-85o ELEC
242-000-
00
HEALTH INSURANCE -COBRA
242-000-
00
HECK GEN 79275 TOTAL FOR FUND 1:
07/25/2023
GEN
79276
HENRY PORTILLO
OVERPAYMENTS
142-000-
00
07/25/2023
GEN
79277*
HILLYARD/HUTCHINSON
Grounds - Materials
401-935-
08
Grounds - Materials
401-935-
08
Page 3/38
Amount
37.00
5,460.00
22.50
9,335.50
246.88
99.52
202.50
855.00
4,440.00
4,440.00
557.11
305.25
305.25
39.81
21.90
10,109.32
115.45
230,020.35
1,900.00
48,604.28
1,354.32
49,958.60
59.11
260.83
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 1 ELECTRIC
HECK GEN 79277 TOTAL
FOR FUND 1:
07/25/2023
GEN
792794
HUTCHINSON WHOLESALE SUPPLY CO
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
Sales Tax Receivable -
New
186-000-
00
Sales Tax Receivable -
Replace
186-000-
00
Sales Tax Receivable -
Replace
186-000-
00
Generator 41 Material
402-554-
01
Generator 41 Material
402-554-
01
Vehicles - Material
402-598-
02
Vehicles - Material
402-598-
02
HECK GEN 79279 TOTAL
FOR FUND 1:
07/25/2023
GEN
79280
JEFFREY GROTTE
OVERPAYMENTS
142-000-
00
07/25/2023
GEN
79281
JENSEN, NEIL
Cip - Residential
401-916-
07
07/25/2023
GEN
792824
JOHN HENRY FOSTER
TUBING, 1/2 KYNAR 100'
BAG TRW 1J-684-
154-000-
00
Sales Tax Receivable -
Replace
186-000-
00
FREIGHT
401-588-
02
HECK GEN 79282 TOTAL
FOR FUND 1:
07/25/2023
GEN
79283
JOSHUA HANSEN
OVERPAYMENTS
142-000-
00
07/25/2023
GEN
79284*4
LOCATORS & SUPPLIES INC
PAINT, LOCATING, INVERTED
MARKING (256)
154-000-
00
Sales Tax Receivable -
New
186-000-
00
FREIGHT
401-588-
02
HECK GEN 79284 TOTAL
FOR FUND 1:
07/25/2023
GEN
792854
LUBE-TECH & PARTNERS, LLC
OIL, MOBIL PEGASUS 1005
154-000-
00
Lubricant Inventory
154-000-
00
Waste Disposal
401-550-
01
HECK GEN 79285 TOTAL
FOR FUND 1:
07/25/2023
GEN
792874
MIRATECH
ORIFICE SUPPORT, GREEN
154-000-
00
ORIFICE SUPPORT, RED
154-000-
00
Page 4/38
Amount
298.57
3.88
0.27
5.36
2.68
77.98
38.99
444.58
294.31
30.00
964.00
78.40
31.39
1,073.79
52.14
587.81
47.85
16,393.02
0.02
1,227.30
204.55
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
Account
Dept
Page 5/38
Amount
Fund: 1 ELECTRIC
ORIFICE SUPPORT, BLUE
154-000-
00
409.
10
O-RING, EPDM 9.25 X 1.78 MM
154-000-
00
36.12
O-RING, EPDM 6.07 X 1.78 MM
154-000-
00
22.36
ORIFICE, GLASS, (APERTURE) 6.5 X 0.55 X
154-000-
00
250.29
ORIFICE, GLASS, (APERTURE) 6.4 X 0.34 X
154-000-
00
250.29
SWITCH, PRESSURE 14 MBAR
154-000-
00
641.20
SOLENOID, VALVE
154-000-
00
136.32
DIAPHRAGM, TO SAMPLE GAS PUMP
154-000-
00
198.
90
FREIGHT
401-588-
02
78.77
FREIGHT
401-588-
02
39.70
HECK GEN 79287 TOTAL FOR FUND 1:
3,494.90
07/25/2023
GEN
79288*
MISSOURI
RIVER ENERGY SERVICES
Meetings & Travel - Expense (S
401-903-
06
715.00
07/25/2023
GEN
79289*
MN MUNICIPAL
UTILITIES ASSOCIATION
MISC SERVICES-QTR SAFETY/MGMT 750
401-923-
08
5,862.94
DUES/MEMBERSHIP EXPENSE-QTR ELEC DUES
401-930-
08
8,366.75
HECK GEN 79289 TOTAL FOR FUND 1:
14,229.69
07/25/2023
GEN
79290*
PLOWMAN,
BRADLEY
Cip - Residential
401-916-
07
150.00
07/25/2023
GEN
79291*
PREMIUM
WATERS INC
OFFICE SUPPLIES -BOTTLED WATER
401-921-
08
19.
55
07/25/2023
GEN
79292*
QUADIENT-LEASE
LEASE/SERVICE AGREEMENTS
401-921-
08
355.82
LEASE/SERVICE AGREEMENTS
401-921-
08
654.30
HECK GEN 79292 TOTAL FOR FUND 1:
1,010.12
07/25/2023
GEN
79293
R AND F
COMPAINIES
OVERPAYMENTS
142-000-
00
78.15
OVERPAYMENTS
142-000-
00
340.80
HECK GEN 79293 TOTAL FOR FUND 1:
418.95
07/25/2023
GEN
79294*
RELIANCE
STANDARD LIFE -LIFE
LTD INSURANCE-80o ELEC
242-000-
00
1, 627.63
LIFE INSURANCE-80o ELEC
242-000-
00
1,029.12
HECK GEN 79294 TOTAL FOR FUND 1:
2,656.75
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 6/38
Amount
Fund: 1 ELECTRIC
07/25/2023
GEN
79295
RESCO
TRANS, 300 KVA PAD, 3PH 480/277
154-000-
00
18,264.62
Sales Tax Receivable - New
186-000-
00
1,438.33
HECK GEN 79295 TOTAL FOR FUND 1:
19,702.95
07/25/2023
GEN
792964
RUNNING'S SUPPLY INC
Sales Tax Receivable - Replace
186-000-
00
15.74
Sales Tax Receivable - Replace
186-000-
00
1.90
Generator 45 Material
402-554-
01
24.17
Accessory Plant - Materials
402-554-
01
199.92
HECK GEN 79296 TOTAL FOR FUND 1:
241.73
07/25/2023
GEN
79297
SCHMIEG, MATTHEW
Cip - Residential
401-916-
07
25.00
07/25/2023
GEN
79298
STANDARD PRINTING & MAILING
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
9.71
07/25/2023
GEN
79299
STEILE CONSTRUCTION
Directional Bore duct and cable
107-367-
00
14,240.00
07/25/2023
GEN
79300
THORSON, JOYCE
Cip - Residential
401-916-
07
30.00
07/25/2023
GEN
793024
TRAFFIC CONTROL CORPORATION
SIGNAL, LUMINATION ZEDS, GREEN TINTED
154-000-
00
74.00
FREIGHT
401-588-
02
25.00
HECK GEN 79302 TOTAL FOR FUND 1:
99.00
07/25/2023
GEN
79303*
TREVOR TUMAN
DEP REFUND/APPLIED
235-000-
00
117.00
07/25/2023
GEN
79304
TWO-WAY COMMUNICATIONS INC
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
35.50
Sales Tax Receivable - New
186-000-
00
2.44
HECK GEN 79304 TOTAL FOR FUND 1:
37.94
07/25/2023
GEN
79305*
UNITED INFORMATION SERVICES,
INC COLLECTION - MATERIALS
401-903-
06
1,991.05
07/25/2023
GEN
79306
VALLEY CUSTOM WELDING, LLC
STRUCTURES & IMPROVEMENTS (BUI
107-341-
00
72.05
Plant 2 Ladder Access Fabrication
107-341-
00
65,425.03
Plant 2 Ladder Access Fabrication
107-341-
00
76,352.86
STRUCTURES & IMPROVEMENTS (BUI
107-341-
00
69.88
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
07/25/2023 GEN 79307 VALLEY SALES OF HUTCHINSON INC
07/25/2023 GEN 79309 VIKING ELECTRIC
07/25/2023 GEN 793104 WARTSILA OF NORTH AMERICA, INC
07/25/2023 GEN 79311 WERSAL, ROGER
07/25/2023 GEN 7931214 WEST CENTRAL SANITATION INC
07/25/2023 GEN 793134 ZIEGLER POWER SYSTEMS
Page 7/38
Account Dept
Amount
Sales
Tax Receivable -
Replace
186-000-
00
4,502.92
Sales
Tax Receivable -
Replace
186-000-
00
5,254.06
HECK
GEN 79306 TOTAL
FOR FUND 1:
151,676.80
TRANSPORTATION
EQUIPMENT
107-392-
00
1,294.38
Eaton
C440BIA100SP3
402-554-
01
717.95
RING, CYLINDER HEAD HYDRAULIC,
154-000-
00
3,216.40
Sales Tax Receivable - Replace
186-000-
00
210.86
Sales Tax Receivable - Replace
186-000-
00
232.68
Sales Tax Receivable - Replace
186-000-
00
342.35
Cylinder Head repair after inspec
402-554-
01
3,067.02
Cylinder Head Repair
402-554-
01
4,979.67
FREIGHT
401-588-
02
167.97
HECK GEN 79310 TOTAL FOR FUND 1:
12,216.95
Cip - Residential
401-916-
07
9.00
GENERATOR 41 WATER & SEWER -INDUSTRIAL
401-547-
01
108.68
WASTE DISPOSAL-4TH AVE
401-550-
01
175.46
UTILITY ESP - WATER/WASTE 55/45-
401-930-
08
265.15
HECK GEN 79312 TOTAL FOR FUND 1:
549.29
SENSOR, MAO VN301PLUS-153000,
154-000-
00
25,275.00
ABLE, MAO VN301PLUS-273204,
154-000-
00
476.25
ABLE, MAO VN301PLUS-273204,
154-000-
00
476.25
ABLE, MAO VN301PLUS-273202,
154-000-
00
403.75
ABLE, MAO VN301PLUS-273202,
154-000-
00
403.75
ABLE, MAO VN301PLUS-273204,
154-000-
00
476.25
ABLE, MAO VN301PLUS-273206,
154-000-
00
551.25
CONTROLLER, MAO VN301PLUS-273100MU M,
154-000-
00
8,550.00
JOINT HEAD, 9.4217-013
154-000-
00
146.26
JOINT HEAD, 9.4110-027
154-000-
00
111.26
BOLT, 9.4110-111
154-000-
00
225.04
BUSHING, SPACER, 9.4110-009
154-000-
00
105.00
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 8/38
Amount
Fund: 1 ELECTRIC
YOKE, 327293-008
154-000-
00
530.00
JOINT HEAD, 9.4217-013
154-000-
00
193.14
JOINT HEAD, 9.4110-027
154-000-
00
148.14
NUT, HEXAGON, 1.2001-238
154-000-
00
7.00
NUT, LOCK, HEXAGON, 1.2021-116
154-000-
00
11.52
SEAL, LEAD, 9.4842-070
154-000-
00
0.88
SEAL, WIRE, 9.4842-071
154-000-
00
0.53
FREIGHT
401-588-
02
13.44
HECK GEN 79313 TOTAL FOR FUND 1:
38,104.71
07/26/2023
GEN
1483(E)*
ALERUS
HEALTH INSURANCE
401-926-
08
387.19
08/01/2023
GEN
1484(E)*
GUARDIAN
DENTAL INSURANCE -COBRA
242-000-
00
457.01
DENTAL INSURANCE-80o ELEC
242-000-
00
3,590.02
HECK GEN 1484(E) TOTAL FOR FUND 1:
4,047.03
08/01/2023
GEN
1485(E)
ALERUS
HEALTH INSURANCE B FITZPATRICK
401-580-
02
332.31
08/01/2023
GEN
1501(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
8,341.48
08/01/2023
GEN
1502(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
690.10
08/02/2023
GEN
1486(E)
ALERUS
HEALTH CARE - BADKE
242-000-
00
2,452.00
08/02/2023
GEN
1494(E)*
PAY MENTECH
collection - Materials
401-903-
06
1,640.36
08/02/2023
GEN
1498(E)*
CITIZENS BANK
Office Supplies
401-921-
08
86.62
08/07/2023
GEN
1487(E)*
AMERICAN PUBLIC
POWER ASSOCIATION Meetings & Travel - Expense (S
401-903-
06
508.75
08/08/2023
GEN
1503(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
631.52
08/09/2023
GEN
79314*4
ACE HARDWARE
Sales Tax Receivable - Replace
186-000-
00
3.99
Sales Tax Receivable - Replace
186-000-
00
0.78
Accessory Plant - Materials
402-554-
01
57.97
Accessory Plant - Materials
402-554-
01
11.40
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 1 ELECTRIC
Maintenance Other - Materials
402-554-
01
Materials
401-588-
02
Grounds - Materials
401-935-
08
HECK GEN 79314 TOTAL FOR FUND 1:
08/09/2023
GEN
79315*
ADAM WRASPIR
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
793164
AERODERIVATIVE GAS TURBINE
THERMOCOUPLE, T-48, MFG# 1962M86-P02
154-000-
00
FREIGHT
401-588-
02
HECK GEN 79316 TOTAL FOR FUND 1:
08/09/2023
GEN
793174
AIRGAS NORTH CENTRAL
AQUA -AMMONIA, 19% NH3
154-000-
00
Sales Tax Receivable - Replace
186-000-
00
BULK HAZMAT
401-588-
02
HECK GEN 79317 TOTAL FOR FUND 1:
08/09/2023
GEN
79318*
AMANDA FAIRBROTHER OR JUSTIN MONS
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79319*
AMERICAN PAYMENT CENTERS INC
BOX RENTAL
401-903-
06
08/09/2023
GEN
79320*4
AUTO VALUE GLENCOE
Power Equipment - Materials
402-598-
02
08/09/2023
GEN
79321*
BAILEY DENNIS
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79322
BETTY BUBOLTZ
OVERPAYMENTS
142-000-
00
08/09/2023
GEN
79323*
BIRCHDALE FIRE & SAFETY
GROUNDS - OUTSIDE SERVICES
401-935-
08
08/09/2023
GEN
79324
BLAKE ANDERSON
OVERPAYMENTS
142-000-
00
08/09/2023
GEN
79325*4
BORDER STATES ELECTRIC SUPPLY
TAPE, 33+SUPER-1-1/2X36YD
154-000-
00
DISPENSER, TAPE, SLW WRITE -ON WITH SMP
154-000-
00
FLOOD SEAL, COVERS (LONG) FSS 350L
154-000-
00
KIT, SPLICE, QS4-15SP-QCI-2-4/0-BCA
154-000-
00
Page 9/38
Amount
14.09
58.77
38.41
185.41
71.50
3,400.00
60.52
3,460.52
10,867.39
753.08
86.49
11,706.96
71.50
51.14
107.88
195.00
418.65
114.63
12.23
56.01
46.34
21.66
2,897.72
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
08/09/2023 GEN 79326* BRADEN OR EMILY CEDERSTROM
08/09/2023 GEN 79327* BRENDA ANDERSEN
08/09/2023 GEN 79328 BRITNEY HUFFMAN
08/09/2023 GEN 79330* BRYAN OR LORI LINDEMEIER
08/09/2023 GEN 79331* CALYN LANDFAIR
08/09/2023 GEN 79333 CARTWRIGHT & ASSOCIATES
08/09/2023 GEN 79336*4 CINTAS CORPORATION 4470
Account Dept
Page 10/38
Amount
TERMINAL BLOCK, 3 PLACE, "COVERED" CSB
154-000-
00
83.19
DISPENSER, TAPE, SLW WRITE -ON WITH SMP
154-000-
00
92.68
Distribution Inventory
154-000-
00
2,226.75
Distribution Inventory
154-000-
00
(2,226.75)
SWITCHGEAR, 3PH PADMOUNT, 15KV, 600 A,
154-000-
00
21,078.02
Sales Tax Receivable - New
186-000-
00
3.85
Sales Tax Receivable - New
186-000-
00
4.67
Sales Tax Receivable - New
186-000-
00
199.22
Sales Tax Receivable - New
186-000-
00
1,449.11
Sales Tax Receivable - New
186-000-
00
12.09
Sales Tax Receivable - Replace
186-000-
00
2.28
Sales Tax Receivable - Replace
186-000-
00
2.49
Sales Tax Receivable - Replace
186-000-
00
2.80
Sales Tax Receivable - Replace
186-000-
00
3.60
Accessory Plant - Materials
402-554-
01
52.36
Street Lighting - Materials
402-596-
02
2,226.75
HECK GEN 79325 TOTAL FOR FUND 1:
28,234.84
DEP REFUND/APPLIED
235-000-
00
130.00
DEP REFUND/APPLIED
235-000-
00
97.50
OVERPAYMENTS
142-000-
00
39.19
DEP REFUND/APPLIED
235-000-
00
65.00
Meetings & Travel - Expense (S
401-903-
06
146.93
XML Service Quote for Hutchinson QTR 2
402-554-
01
1,750.00
Uniforms & Laundry
401-550-
01
252.98
Uniforms & Laundry
401-550-
01
252.98
Uniforms & Laundry
401-550-
01
247.54
UNIFORMS & LAUNDRY
401-588-
02
151.33
UNIFORMS & LAUNDRY
401-588-
02
151.33
UNIFORMS & LAUNDRY
401-588-
02
151.33
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 1 ELECTRIC
HECK GEN 79336 TOTAL FOR FUND 1:
08/09/2023
GEN
7933714
CITY OF HUTCHINSON
VEHICLE/EQUIPMENT FUEL -POWER
401-550-
01
VEHICLES/EQUIPMENT FUEL-ELEC
401-588-
02
VEHICLES/EQUIPMENT FUEL-ADMIN 55/45
401-935-
08
HECK GEN 79337 TOTAL FOR FUND 1:
08/09/2023
GEN
79338*
CLEO O'BRIEN
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79340*
DANIELLE TEWS
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79341*
DAVID DONNAY
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79342*
DAVID MEDINA
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79343*
DAVID OR NANCY HEIDEBRINK
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79344*
DEBRA JAQUA
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79345
DIANE FREITAG
OVERPAYMENTS
142-000-
00
08/09/2023
GEN
79346
DUSTIN SHARP OR JOURDIN WALLACE
OVERPAYMENTS
142-000-
00
08/09/2023
GEN
79347*
DYLAN NUSSBAUM OR HILDA GARCIA
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79348*
EHLERS & ASSOCIATES, INC
REGULATORY EXPENSES
401-928-
08
08/09/2023
GEN
79349
FASTENAL COMPANY
Maintenance Other - Materials
402-554-
01
Maintenance Other - Materials
402-554-
01
HECK GEN 79349 TOTAL FOR FUND 1:
08/09/2023
GEN
79351
FS3 INC
INTERDUCT, 4", SIR 13.5 ELK/WITH 3 RED
154-000-
00
Sales Tax Receivable - New
186-000-
00
Page 11/38
Amount
1,207.49
257.45
1,526.90
25.04
1,809.39
130.00
39.00
52.00
91.00
123.50
65.00
128.91
22.61
234.00
275.00
12.10
2,902.50
199.55
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 12/38
Amount
Fund: 1 ELECTRIC
HECK GEN 79351 TOTAL FOR FUND 1:
3,102.05
08/09/2023
GEN
7935214
GOPHER STATE ONE -CALL INC
Line - Materials
401-581-
02
218.70
08/09/2023
GEN
79353
GREAT RIVER ENERGY
Outside Services
402-574-
03
3,046.63
08/09/2023
GEN
793554
HACH COMPANY
Hach C20C250, 12.88 Micromho
401-550-
01
317.80
TAX
401-588-
02
21.85
HECK GEN 79355 TOTAL FOR FUND 1:
339.65
08/09/2023
GEN
79356*
HANNA SEIFERT
GET REFUND/APPLIED
235-000-
00
143.00
08/09/2023
GEN
79357
HANSEN GRAVEL INC
Generator 41 Material
402-554-
01
371.93
08/09/2023
GEN
79358*
HEALTH PARTNERS
HEALTH INSURANCE-85o ELEC
242-000-
00
51,318.68
HEALTH INSURANCE -COBRA
242-000-
00
1,354.32
HECK GEN 79358 TOTAL FOR FUND 1:
52,673.00
08/09/2023
GEN
79359
HILLYARD/HUTCHINSON
Supplies
401-550-
01
5.24
08/09/2023
GEN
79360*
HOEN ENTERPRISE
GET REFUND/APPLIED
235-000-
00
916.50
08/09/2023
GEN
79361
HOFFMAN FILTER SERVICE
Supplies
401-550-
01
63.88
08/09/2023
GEN
79362*
HUTCHFIELD SERVICES
Grounds - Outside Services
401-935-
08
1,093.21
08/09/2023
GEN
79363
HUTCHINSON CO-OP
Vehicles - Material
402-554-
01
17.25
08/09/2023
GEN
79364*4
HUTCHINSON LEADER
Cip - Marketing
401-916-
07
126.20
Cip - Marketing
401-916-
07
333.00
HECK GEN 79364 TOTAL FOR FUND 1:
459.20
08/09/2023
GEN
793654
HUTCHINSON WHOLESALE SUPPLY CO
Sales Tax Receivable - Replace
186-000-
00
0.45
Accessory Plant - Materials
402-554-
01
6.49
HECK GEN 79365 TOTAL FOR FUND 1:
6.94
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 13/38
Amount
Fund: 1 ELECTRIC
08/09/2023
GEN
79366
IRBY TOOL & SAFETY
Uniforms & Laundry
401-588-
02
148.81
08/09/2023
GEN
79367*
JAKE WILLIAMS
DEP REFUND/APPLIED
235-000-
00
195.00
08/09/2023
GEN
79368
JESSE JUST
OVERPAYMENTS
142-000-
00
151.33
08/09/2023
GEN
79369*
JLR GARAGE DOOR SERVICE INC
Grounds - Materials
401-935-
08
123.75
08/09/2023
GEN
79370*
JOHANNA MERTEN OR RYAN HOUSEMAN
DEP REFUND/APPLIED
235-000-
00
58.50
08/09/2023
GEN
793714
JOHN HENRY FOSTER
TUBING, 1/2 KYNAR 100' BAG TRW 1J-684-
154-000-
00
482.00
Sales Tax Receivable - Replace
186-000-
00
39.96
Materials
401-588-
02
25.29
HECK GEN 79371 TOTAL FOR FUND 1:
547.25
08/09/2023
GEN
79372*
JOHNATHON DOBIE
DEP REFUND/APPLIED
235-000-
00
195.00
08/09/2023
GEN
79373
JOSHUA BAGGENSTOS
OVERPAYMENTS
142-000-
00
233.14
08/09/2023
GEN
79374
JOYCE THORSON
OVERPAYMENTS
142-000-
00
242.66
08/09/2023
GEN
79375
KATRINA KRIENKE
OVERPAYMENTS
142-000-
00
3.07
08/09/2023
GEN
79376
KRANZ LAWN & POWER
Power Equipment - Materials
402-598-
02
32.00
Power Equipment - Materials
402-598-
02
429.99
Power Equipment - Materials
402-598-
02
24.00
HECK GEN 79376 TOTAL FOR FUND 1:
485.99
08/09/2023
GEN
79377*
KRISTI WHITCOMB
DEP REFUND/APPLIED
235-000-
00
130.00
08/09/2023
GEN
793784
KURITA AMERICA INC
TOWER SHIELD, 5173
154-000-
00
11,724.02
OXIGON 103
154-000-
00
1,797.95
Sales Tax Receivable - Replace
186-000-
00
816.68
Sales Tax Receivable - Replace
186-000-
00
130.16
FREIGHT
401-588-
02
154.96
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 14/38
Amount
Fund: 1 ELECTRIC
FREIGHT
401-588-
02
95.26
HECK GEN 79378 TOTAL
FOR FUND 1:
14,719.03
08/09/2023
GEN
79380*
LEAH MULENBURG
GET REFUND/APPLIED
235-000-
00
162.50
08/09/2023
GEN
79381*
LELUK PROPERTIES LLC
GET REFUND/APPLIED
235-000-
00
130.00
08/09/2023
GEN
79382
LEWERANZ, RODNEY
Cip - Residential
401-916-
07
30.00
08/09/2023
GEN
79383*
LINDA STEIN
GET REFUND/APPLIED
235-000-
00
178.75
08/09/2023
GEN
79384*
LOGAN ZWAYER
GET REFUND/APPLIED
235-000-
00
71.50
08/09/2023
GEN
79385*
LYLE FASHANT
GET REFUND/APPLIED
235-000-
00
48.75
08/09/2023
GEN
79386
MAKAISA OR MADELYN STOCKMAN
OVERPAYMENTS
142-000-
00
87.00
08/09/2023
GEN
79387*
MARCO TECHNOLOGIES, LLC
OFFICE SUPPLIES
401-921-
08
521.68
08/09/2023
GEN
79388*
MARK GRESSEL
GET REFUND/APPLIED
235-000-
00
65.00
08/09/2023
GEN
793894
MATHESON TRI-GAS INC
Sales Tax Receivable
- Replace
186-000-
00
14.36
Generator 41 Material
402-554-
01
208.82
HECK GEN 79389 TOTAL
FOR FUND 1:
223.18
08/09/2023
GEN
79390*
MATTHEW THUL
GET REFUND/APPLIED
235-000-
00
65.00
08/09/2023
GEN
79391*
MATTHEW TRETTIN
GET REFUND/APPLIED
235-000-
00
208.00
08/09/2023
GEN
793924
MCC ENERGY SOLUTIONS, LLC
I AM MANAGEMENT FEES
401-555-
02
3,900.00
IAM USAGE FEES
401-556-
03
3,050.00
CHECK GEN 79392 TOTAL
FOR FUND 1:
6,950.00
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 15/38
Amount
Fund: 1 ELECTRIC
08/09/2023
GEN
79393*
MERCEDES NARVAEZ RAMIREZ
DEP REFUND/APPLIED
235-000-
00
78.00
08/09/2023
GEN
79394
MITCHELL STUBER OR VICTORIA HUGHES
OVERPAYMENTS
142-000-
00
8.60
08/09/2023
GEN
79395
MN DEPT OF LABOR AND INDUSTRY
Permits And Rent
401-550-
01
130.00
Permits And Rent
401-550-
01
50.00
HECK GEN 79395 TOTAL
FOR FUND 1:
180.00
08/09/2023
GEN
79396*
NATALIE NELSON
DEP REFUND/APPLIED
235-000-
00
45.50
08/09/2023
GEN
79397*
NATHAN REBERG
DEP REFUND/APPLIED
235-000-
00
65.00
08/09/2023
GEN
79399*
NUVERA
TELEPHONE
401-921-
08
1,915.52
08/09/2023
GEN
79400*4
OXYGEN SERVICE COMPANY INC
Supplies
401-550-
01
94.80
Supplies
401-550-
01
86.61
Supplies
401-550-
01
70.86
HECK GEN 79400 TOTAL
FOR FUND 1:
252.27
08/09/2023
GEN
79401
PAT HOECKE
OVERPAYMENTS
142-000-
00
257.19
08/09/2023
GEN
79402*4
PRO AUTO & TRANSMISSION REPAIR
Vehicles - Material
402-598-
02
800.52
Vehicles - Material
402-598-
02
164.80
HECK GEN 79402 TOTAL
FOR FUND 1:
965.32
08/09/2023
GEN
79403
KID EQUIPMENT
WIPER, 2.06
154-000-
00
72.48
Sales Tax Receivable
- New
186-000-
00
20.61
HECK GEN 79403 TOTAL
FOR FUND 1:
93.09
08/09/2023
GEN
79404*
REED MITCHELL
DEP REFUND/APPLIED
235-000-
00
48.75
08/09/2023
GEN
79405
RESCO
TRANS, 225 KVA PAD, 3PH
480/277
154-000-
00
16,438.46
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 16/38
Amount
Fund: 1 ELECTRIC
TRANS, 150 KVA PAD, 3PH 208/120
154-000-
00
28,710.76
Sales Tax Receivable - New
186-000-
00
1,294.52
Sales Tax Receivable - New
186-000-
00
2,260.96
HECK GEN 79405 TOTAL FOR FUND 1:
48,704.70
08/09/2023
GEN
79407*
RICHARD WILSON
DEP REFUND/APPLIED
235-000-
00
58.50
08/09/2023
GEN
794084
RS AMERICAS, INC.
CONNECTOR, TERMINAL BLOCK, ALTECH CORP.
154-000-
00
198.00
END PLATE, ALTECH CORP. 470078136
154-000-
00
9.10
FREIGHT
401-588-
02
16.00
HECK GEN 79408 TOTAL FOR FUND 1:
223.10
08/09/2023
GEN
79409*4
RUNNING'S SUPPLY INC
Sales Tax Receivable - Replace
186-000-
00
0.20
Sales Tax Receivable - Replace
186-000-
00
2.76
Generator 41 Material
402-554-
01
34.99
Accessory Plant - Materials
402-554-
01
2.49
HECK GEN 79409 TOTAL FOR FUND 1:
40.44
08/09/2023
GEN
79411
SCHMELING, HAYLIE
Cip - Residential
401-916-
07
25.00
08/09/2023
GEN
79412
SCHWEITZER ENGINEERING
SEL-C953 coaxial cable
107-362-
00
31.04
SEL-273A serial cable
107-362-
00
87.42
Sales Tax Receivable - New
186-000-
00
8.14
HECK GEN 79412 TOTAL FOR FUND 1:
126.60
08/09/2023
GEN
79413*
SHRED RIGHT
OFFICE SUPPLIES -SHREDDING SERVICES
401-921-
08
15.47
08/09/2023
GEN
79415*4
STANDARD PRINTING & MAILING
Supplies
401-550-
01
49.19
Office Supplies
401-921-
08
185.75
HECK GEN 79415 TOTAL FOR FUND 1:
234.94
08/09/2023
GEN
79416
SUZANNE WEGNER
OVERPAYMENTS
142-000-
00
95.37
08/09/2023
GEN
79417*
TYFANY WEHMEYER
DEP REFUND/APPLIED
235-000-
00
195.00
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 17/38
Amount
Fund: 1 ELECTRIC
08/09/2023
GEN
79418*
UNITED PARCEL SERVICE
MAIL SERVICES - UPS,
FEDEX
401-921-
08
105.57
08/09/2023
GEN
79419*
VAL OR ALVINA FERRIAN
DEP REFUND/APPLIED
235-000-
00
48.75
08/09/2023
GEN
79420*
VANDENBERG, DAVID
Cip - Residential
401-916-
07
25.00
08/09/2023
GEN
79421*
VERIZON WIRELESS
TELEPHONE
401-921-
08
1,036.
02
08/09/2023
GEN
794224
WARTSILA OF NORTH AMERICA, INC
SENSOR, PRESSURE, 4516
541
154-000-
00
9,352.74
HOUSING, 352 377
154-000-
00
119.66
Sales Tax Receivable
- Replace
186-000-
00
681.25
FREIGHT
401-588-
02
436.62
HECK GEN 79422 TOTAL
FOR FUND 1:
10,590.27
08/09/2023
GEN
79423
WESCO RECEIVABLES CORP
METERS (BOXES)
107-370-
00
608.74
Sales Tax Receivable
- New
186-000-
00
41.85
HECK GEN 79423 TOTAL
FOR FUND 1:
650.59
08/09/2023
GEN
79424
WHEELHOUSE INDUSTRIAL
Plant 2 Ladder Access
Install
107-341-
00
26,701.10
STRUCTURES & IMPROVEMENTS
(BUI
107-341-
00
24.06
Sales Tax Receivable
- Replace
186-000-
00
1,837.35
HECK GEN 79424 TOTAL
FOR FUND 1:
28,562.51
08/09/2023
GEN
79425
WILD FLOWER PROPERTIES
OVERPAYMENTS
142-000-
00
606.78
OVERPAYMENTS
142-000-
00
660.88
HECK GEN 79425 TOTAL
FOR FUND 1:
1,267.66
08/09/2023
GEN
79426
WILD FLOWER PROPERTIES
OVERPAYMENTS
142-000-
00
664.50
OVERPAYMENTS
142-000-
00
580.24
HECK GEN 79426 TOTAL
FOR FUND 1:
1,244.74
08/09/2023
GEN
79427
WILLIAM FELLOWS
OVERPAYMENTS
142-000-
00
120.01
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
Fund: 1 ELECTRIC
08/09/2023 GEN 79428 WILSON, RONALD
08/09/2023 GEN 79430 ZIEGLER POWER SYSTEMS
08/10/2023 GEN 1495(E)* INVOICE CLOUD
08/14/2023 GEN 1490(E) MISO
08/14/2023 GEN 1491(E) MISO
08/14/2023 GEN 1492(E) MISO
08/15/2023 GEN 1504(E) MISO
08/16/2023 GEN 1488(E)*4 VISA
Account Dept
Page 18/38
Amount
Cip - Residential
401-916-
07
25.00
FREIGHT
401-588-
02
13.44
Collection
- Materials
401-903-
06
1,746.08
26A
401-565-
03
29,909.98
26E
401-565-
03
20.72
26
401-565-
03
24,107.48
HECK GEN
1490(E) TOTAL FOR FUND 1:
54,038.18
SCHEDULE
10
401-565-
03
7,393.45
1
401-565-
03
6,113.05
2
401-565-
03
5.23
26
401-565-
03
0.01
26A
401-565-
03
2.46
CHECK GEN
1492(E) TOTAL FOR FUND 1:
6,120.75
Deferred
Energy Cost - Miso
174-000-
00
678.29
SOLENOID,
EXHAUST GAS VENTILATOR,
154-000-
00
264.00
SPARK PLUG,
DENSO PART # GI3-1
154-000-
00
1, 960.00
FRAUD
186-000-
00
7.00
Sales Tax
Receivable - New
186-000-
00
22.83
Sales Tax
Receivable - Replace
186-000-
00
9.55
Sales Tax
Receivable - Replace
186-000-
00
10.75
Sales Tax
Receivable - Replace
186-000-
00
3.68
Sales Tax
Receivable - Replace
186-000-
00
0.27
Sales Tax
Receivable - Replace
186-000-
00
27.97
Sales Tax
Receivable - Replace
186-000-
00
22.43
Sales Tax
Receivable - Replace
186-000-
00
1.27
Meetings
& Travel - Labor (Sta
401-546-
01
64.16
Meetings
& Travel - Expense (S
401-546-
01
21.06
Meetings
& Travel - Expense (S
401-546-
01
51.17
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
08/16/2023 GEN 1505(E)I VISA
08/18/2023 GEN 1493(E) MRES
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES Page 19/38
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description Account Dept Amount
Meetings & Travel - Expense (S
401-546-
01
31.43
Meetings & Travel - Expense (S
401-546-
01
46.11
Generator 41 Material
402-554-
01
121.19
GENERATOR 41 MATERIAL
402-554-
01
136.40
Generator 41 Material
402-554-
01
265.50
Generator 41 Material
402-554-
01
16.19
Generator 41 Material
402-554-
01
284.82
Generator 41 Material
402-554-
01
3.39
Generator 46 Material
402-554-
01
355.15
Accessory Plant - Materials
402-554-
01
46.69
Accessory Plant - Materials
402-554-
01
145.00
Accessory Plant - Materials
402-554-
01
568.60
Maintenance Other - Materials
402-554-
01
194.16
Maintenance Other - Materials
402-554-
01
73.34
Maintenance Other - Materials
402-554-
01
86.42
Maintenance Other - Materials
402-554-
01
64.69
Maintenance Other - Materials
402-554-
01
98.00
Maintenance Other - Materials
402-554-
01
355.38
Purchased Power
401-555-
02
200.00
INTERNATIONAL TRANS FEE
401-588-
02
4.35
FREIGHT
401-588-
02
25.90
FREIGHT
401-588-
02
17.32
Training - Expense
401-930-
08
1,147.44
CHECK GEN 1488(E) TOTAL FOR FUND 1: 6,753.61
Office Supplies
401-921-
08
15.36
Office Supplies
401-921-
08
19.44
Office Supplies
401-921-
08
43.83
Office Supplies
401-921-
08
36.51
Breakroom/Recognition
Banquet
401-926-
08
16.40
Breakroom/Recognition
Banquet
401-926-
08
30.57
Breakroom/Recognition
Banquet
401-926-
08
22.40
Training - Expense
401-930-
08
375.00
HECK GEN 1505(E) TOTAL FOR FUND 1:
559.51
Purchased Power
401-555-
02
1,066,525.59
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
08/22/2023 GEN 1489(E)* MINNESOTA REVENUE
08/22/2023 GEN 79433*4 ACE HARDWARE
08/22/2023 GEN 79434 BORDER STATES ELECTRIC SUPPLY
08/22/2023 GEN 79435 CAMERON WAGNER
08/22/2023 GEN 79436 CARLY'S SHOE STORE
Account Dept
Page 20/38
Amount
STATE SALES TAX
242-000-
00
76,256.00
City Sales Tax
242-000-
00
5,518.00
COUNTY SALES TAX
242-000-
00
5, 518.00
HECK GEN 1489(E) TOTAL FOR FUND 1:
87,292.00
Sales Tax Receivable - Replace
186-000-
00
2.06
Sales Tax Receivable - Replace
186-000-
00
0.69
Sales Tax Receivable - Replace
186-000-
00
(0.14)
Accessory Plant - Materials
402-554-
01
29.98
Accessory Plant - Materials
402-554-
01
9.98
Accessory Plant - Materials
402-554-
01
(2.00)
Maintenance Other - Materials
402-554-
01
18.16
Line - Materials
401-581-
02
19.23
Building & Grounds - Materials
402-592-
02
25.77
Building & Grounds - Materials
402-592-
02
(0.86)
HECK GEN 79433 TOTAL FOR FUND 1:
102.87
CONDUCTOR, 350 MCM 600V URD TRIPLEX
154-000-
00
11,846.00
GLOBE, ACORN, WITHOUT CUT-OFF,
154-000-
00
3, 642.00
RAKE, BOW RAZORBACK 463141
154-000-
00
143.65
SPLIT BOLT 1/0 KS25 BURNDY
154-000-
00
136.50
SPLICE, 42 TO 42 AL/CU YSU2R2R
154-000-
00
10.95
TAPE, SUPER 33+ PROFESSIONAL GRADE
154-000-
00
108.40
INHIBITOR, OXIDE, DE-OX, 8 OF, ILSCO
154-000-
00
30.
92
Sales Tax Receivable - New
186-000-
00
814.54
Sales Tax Receivable - New
186-000-
00
250.39
Sales Tax Receivable - New
186-000-
00
9.88
Sales Tax Receivable - New
186-000-
00
9.38
Sales Tax Receivable - New
186-000-
00
10.33
HECK GEN 79434 TOTAL FOR FUND 1:
17,012.94
Cip - Residential
401-916-
07
500.00
Uniforms & Laundry
401-588-
02
220.99
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 21/38
Amount
Fund: 1 ELECTRIC
08/22/2023
GEN
79437
CARRIER COMMERCIAL SERVICE
GASKET, COND. W/B FRS,
154-000-
00
1,039.74
GASKET, DISHED HEAD - FRAME 8,
154-000-
00
1, 460.80
Sales Tax Receivable - Replace
186-000-
00
171.79
HECK GEN 79437 TOTAL FOR FUND 1:
2,672.33
08/22/2023
GEN
794384
CENTRAL HYDRAULICS
Sales Tax Receivable - Replace
186-000-
00
26.50
Sales Tax Receivable - Replace
186-000-
00
2.80
Sales Tax Receivable - Replace
186-000-
00
1.00
Generator 46 Material
402-554-
01
40.71
Generator 47 Material
402-554-
01
385.43
Generator 47 Material
402-554-
01
14.57
HECK GEN 79438 TOTAL FOR FUND 1:
471.01
08/22/2023
GEN
79439
CHASE GROSS
OVERPAYMENTS
142-000-
00
67.30
08/22/2023
GEN
7944014
CINTAS CORPORATION 4470
Uniforms & Laundry
401-550-
01
247.54
Uniforms & Laundry
401-550-
01
89.78
Uniforms & Laundry
401-550-
01
247.54
UNIFORMS & LAUNDRY
401-588-
02
151.33
UNIFORMS & LAUNDRY
401-588-
02
64.23
UNIFORMS & LAUNDRY
401-588-
02
151.33
HECK GEN 79440 TOTAL FOR FUND 1:
951.75
08/22/2023
GEN
79441*4
CITY OF HUTCHINSON
Generator 41 Water & Sewer
401-547-
01
364.24
Generator 41 Water & Sewer
401-547-
01
871.65
Waste Disposal
401-550-
01
3,317.81
Waste Disposal
401-550-
01
32.18
Waste Disposal
401-550-
01
560.00
Line - Materials
402-594-
02
148.81
IT ADMIN AND SUPPORT 75/25
401-921-
08
4,933.33
Utility Expenses - Water/Waste
401-930-
08
12.40
Utility Expenses - Water/Waste
401-930-
08
529.73
HECK GEN 79441 TOTAL FOR FUND 1:
10,770.15
08/22/2023
GEN
79442
COUNTY OF MCLEOD
Street Lighting - Materials
402-596-
02
240.00
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
Fund: 1 ELECTRIC
08/22/2023 GEN 7944314 DESIGN ELECTRIC, INC
Account Dept
STATION EQUIPMENT (SWITCHGEAR, 107-362- 00
Sales Tax Receivable - New 186-000- 00
HECK GEN 79443 TOTAL FOR FUND 1:
08/22/2023
GEN
79444
DGR ENGINEERING
3M Substation Relay and RTU Upgrades
107-362-
00
Hutchinson Substation 115kV rebuild
107-362-
00
STATION EQUIPMENT (SWITCHGEAR,
107-362-
00
HECK GEN 79444 TOTAL FOR FUND 1:
08/22/2023
GEN
79445
DONALD RASMUSSEN
Cip - Residential
401-916-
07
08/22/2023
GEN
79446
EDWARD JONES
Cip- Commercial
401-916-
07
08/22/2023
GEN
79447*
FIRST CHOICE FOOD & BEVERAGE
BREAKROOM/RECOGNITION BANQUET
401-926-
08
08/22/2023
GEN
79448
FOSTER MECHANICAL
Generator 41 Material
402-554-
01
08/22/2023
GEN
79450
GOSSE, JON
Cip - Residential
401-916-
07
08/22/2023
GEN
79451
GREAT RIVER ENERGY
TRANSMISSION EXPENSE
401-565-
03
08/22/2023
GEN
794534
HACH COMPANY
Hach 2283449, PH 4 buffer
401-550-
01
Hach 2283549, PH 7 buffer
401-550-
01
Hach 2283649, PH 10 buffer
401-550-
01
Hach 2974349, 1414 Micromho
401-550-
01
Hach 1407099, DID free chlorine reagent
401-550-
01
Hach 20353, Sulfuric acid standard sot.
401-550-
01
Hach 1400153, Potassium iodate reagent
401-550-
01
Materials
401-588-
02
HECK GEN 79453 TOTAL FOR FUND 1:
08/22/2023
GEN
79455
HEARTLAND AG SYSTEMS
Maintenance Other - Materials
402-554-
01
08/22/2023
GEN
79456
HILLYARD/HUTCHINSON
Supplies
401-550-
01
08/22/2023
GEN
79457
HUTCHINSON WHOLESALE SUPPLY CO
Maintenance Other - Materials
402-554-
01
Page 22/38
Amount
46.00
3.16
49.16
288.00
9,660.00
45.50
9,993.50
25.00
132.00
101.25
1,366.02
500.00
260,404.86
39.18
78.36
78.36
258.20
263.60
162.75
135.18
99.75
1,115.38
100.14
273.72
53.31
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
Fund: 1 ELECTRIC
08/22/2023 GEN 79459* INNOVATIVE OFFICE SOLUTIONS
08/22/2023 GEN 79461 JIM JORDAHL
08/22/2023 GEN 794624 KING MECHANICAL SPECIALTY INC
08/22/2023 GEN 79463 KOELLN, VAL
08/22/2023 GEN 794644 KURITA AMERICA INC
08/22/2023 GEN 79466 KYLE BECKER
08/22/2023 GEN 79467*4 LOCATORS & SUPPLIES INC
08/22/2023 GEN 79468 MAKAISA OR MADELYN STOCKMAN
08/22/2023 GEN 79470 MINNESOTA DEPT OF COMMERCE
08/22/2023 GEN 79471 NERC
08/22/2023 GEN 79472*4 NORTHERN STATES SUPPLY INC
Account Dept
Page 23/38
Amount
Office Supplies
401-921-
08
195.10
Office Supplies
401-921-
08
3.41
HECK GEN 79459 TOTAL
FOR FUND 1:
198.51
Cip - Residential
401-916-
07
30.00
VALVE, 3" FIRESAFE BALL
WITH KINETROL
154-000-
00
5, 070.00
FREIGHT
401-588-
02
285.60
HECK GEN 79462 TOTAL
FOR FUND 1:
5,355.60
Cip - Residential
401-916-
07
25.00
Sales Tax Receivable
- Replace
186-000-
00
10.59
Accessory Plant - Materials
402-554-
01
154.00
HECK GEN 79464 TOTAL
FOR FUND 1:
164.59
Cip - Residential
401-916-
07
700.00
PAINT, LOCATING, INVERTED
MARKING (256)
154-000-
00
600.48
FREIGHT & TAX
401-588-
02
113.65
HECK GEN 79467 TOTAL
FOR FUND 1:
714.13
OVERPAYMENTS
142-000-
00
120.72
OVERPAYMENTS
142-000-
00
211.40
EHEAT CORRECTION
142-000-
00
211.40
HECK GEN 79470 TOTAL
FOR FUND 1:
422.80
Purchased Power
401-555-
02
4,440.02
Sales Tax Receivable
- Replace
186-000-
00
3.03
Accessory Plant - Materials
402-554-
01
44.03
Line - Materials
401-581-
02
2.00
14" X .125 X UNV STAR
BLUE DIAMOND
401-581-
02
108.62
TAX & FREIGHT
401-588-
02
13.88
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 24/38
Amount
Fund: 1 ELECTRIC
HECK GEN 79472 TOTAL FOR FUND 1:
171.56
08/22/2023
GEN
79474*
PALADIN TECHNOLOGIES INC
Grounds - Outside Services
401-935-
08
148.50
Grounds - Outside Services
401-935-
08
49.50
HECK GEN 79474 TOTAL FOR FUND 1:
198.00
08/22/2023
GEN
79475
PHYLLIS MATTSON
OVERPAYMENTS
142-000-
00
61.18
08/22/2023
GEN
79476*
PREMIUM WATERS INC
OFFICE SUPPLIES -BOTTLED WATER
401-921-
08
24.
62
08/22/2023
GEN
794774
PROCHASKA LLC
CHLOR 125 (SANI-CHLOR)
154-000-
00
1,127.16
SULFURIC ACID 940
154-000-
00
1,313.40
SODIUM HYDROXIDE 50o MEMOBRANE
154-000-
00
2,380.40
Sales Tax Receivable - Replace
186-000-
00
360.40
FREIGHT
401-588-
02
418.00
HECK GEN 79477 TOTAL FOR FUND 1:
5,599.36
08/22/2023
GEN
79478*
RELIANCE STANDARD LIFE -LIFE
LTD INSURANCE-80o ELEC
242-000-
00
1, 672.06
LIFE INSURANCE-80o ELEC
242-000-
00
1,071.20
HECK GEN 79478 TOTAL FOR FUND 1:
2,743.26
08/22/2023
GEN
79479*
REMINGTON, PHILIP
Cip - Residential
401-916-
07
25.00
08/22/2023
GEN
794804
RUNNING'S SUPPLY INC
Sales Tax Receivable - Replace
186-000-
00
0.11
Sales Tax Receivable - Replace
186-000-
00
0.06
Generator 41 Material
402-554-
01
1.40
Generator 41 Material
402-554-
01
0.75
HECK GEN 79480 TOTAL FOR FUND 1:
2.32
08/22/2023
GEN
79481
SHARELLE LEAL
Cip - Residential
401-916-
07
50.00
08/22/2023
GEN
79482*
STANDARD PRINTING & MAILING
Collection - Materials
401-903-
06
28.60
Collection - Materials
401-903-
06
1,506.46
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 1 ELECTRIC
HECK GEN 79482 TOTAL FOR FUND 1:
08/22/2023
GEN
79483
STATE OF MINNESOTA
Regulatory Expenses
401-928-
08
08/22/2023
GEN
79486*
TODD BRANDEL
Cip - Residential
401-916-
07
08/22/2023
GEN
794874
TRANSCAT
SENSOR, AMMONIA (NH3), 0-75 PPM
154-000-
00
Sales Tax Receivable - Replace
186-000-
00
Materials
401-588-
02
HECK GEN 79487 TOTAL FOR FUND 1:
08/22/2023
GEN
79488
TRAVIS TORCHES
OVERPAYMENTS
142-000-
00
08/22/2023
GEN
79489*
UNITED INFORMATION SERVICES, INC
COLLECTION - MATERIALS
401-903-
06
08/22/2023
GEN
79491*4
WEST CENTRAL SANITATION INC
GENERATOR 41 WATER & SEWER -INDUSTRIAL
401-547-
01
WASTE DISPOSAL-4TH AVE
401-550-
01
UTILITY ESP - WATER/WASTE 55/45-
401-930-
08
HECK GEN 79491 TOTAL FOR FUND 1:
Total for fund 1 ELECTRIC
Page 25/38
Amount
1,535.06
3,440.45
1,225.00
185.25
17.45
99.07
2,057.61
109.14
176.19
3,489,375.44
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
Fund: 2 GAS
07/25/2023 GEN 7925314 ACE HARDWARE
07/25/2023 GEN 79256* AVERY, WILLIAM
07/25/2023 GEN 79257*4 BORDER STATES ELECTRIC SUPPLY
07/25/2023 GEN 79260*4 CINTAS CORPORATION 4470
07/25/2023 GEN 79261*4 CITY OF HUTCHINSON
07/25/2023
GEN
79266*
ELECTRO WATCHMAN INC
07/25/2023
GEN
79268*
FIRST CHOICE FOOD & BEVERAGE
07/25/2023
GEN
79273
GROEBNER & ASSOCIATES INC
07/25/2023 GEN 79275* HEALTH PARTNERS
07/25/2023 GEN 79277* HILLYARD/HUTCHINSON
Account Dept
Page 26/38
Amount
Materials
401-874-
04
24.12
Materials
402-892-
04
15.98
HECK GEN 79253 TOTAL FOR FUND 2:
40.10
Cip - Residential
401-916-
07
400.00
CAP, FEMALE THRD, 1/2", BM, CLASS 150
154-000-
00
17.30
NIPPLE, 3/4" X 2", BM, STD, SMLS, TEE
154-000-
00
8.90
TAX
401-874-
04
1.84
HECK GEN 79257 TOTAL FOR FUND 2:
28.04
UNIFORMS & LAUNDRY
401-880-
04
88.84
IT ADMIN AND SUPPORT 75/25
401-921-
08
246.29
Utility Expenses - Water/Waste
401-930-
08
14.48
Utility Expenses - Water/Waste
401-930-
08
437.26
HECK GEN 79261 TOTAL FOR FUND 2:
698.03
Grounds - Outside Services
401-935-
08
202.00
BREAKROOM/RECOGNITION BANQUET
401-926-
08
67.50
FREIGHT & TAX
401-874-
04
31.77
Sensus turbine meter oil 4oz
402-892-
04
91.35
HECK GEN 79273 TOTAL FOR FUND 2:
123.12
HEALTH INSURANCE-15o GAS
242-000-
00
8,577.22
Grounds - Materials
401-935-
08
260.83
Grounds - Materials
401-935-
08
37.73
HECK GEN 79277 TOTAL FOR FUND 2:
298.56
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 27/38
Amount
Fund: 2 GAS
07/25/2023
GEN
79278
HUTCHINSON HEALTH
Materials
401-874-
04
259.00
07/25/2023
GEN
79284*4
LOCATORS & SUPPLIES INC
FLAG, LOCATING, YELLOW, 4" X 5", ON 21"
154-000-
00
728.00
TAX & FREIGHT
401-874-
04
38.15
Change Screen Charge
401-874-
04
25.00
TAX & FREIGHT
401-874-
04
144.16
RAIN PANTS, 1501TFY, LARGE
401-880-
04
93.00
RAIN JACKET, 1503JFY, LARGE
401-880-
04
140.50
SAFETY VEST, FR,FM389Z, LARGE
401-880-
04
80.00
HECK GEN 79284 TOTAL FOR FUND 2:
1,248.81
07/25/2023
GEN
792864
MCLEOD COOPERATVIE POWER ASSN
MISC EXPENSE -GAS LINE PUMP
401-880-
04
54.73
UTILITIES (ELECTRIC, SATELLITE-MCLEOD
401-856-
05
38.66
HECK GEN 79286 TOTAL FOR FUND 2:
93.39
07/25/2023
GEN
79288*
MISSOURI RIVER ENERGY SERVICES
Meetings & Travel - Expense (S
401-903-
06
585.00
07/25/2023
GEN
79289*
MN MUNICIPAL UTILITIES ASSOCIATION
MISC SERVICES-QTR SAFETY/MGMT 250
401-923-
08
1,954.31
07/25/2023
GEN
79290*
PLOWMAN, BRADLEY
Cip - Residential
401-916-
07
350.00
07/25/2023
GEN
79291*
PREMIUM WATERS INC
OFFICE SUPPLIES -BOTTLED WATER
401-921-
08
6.52
07/25/2023
GEN
79292*
QUADIENT-LEASE
LEASE/SERVICE AGREEMENTS
401-921-
08
118.60
LEASE/SERVICE AGREEMENTS
401-921-
08
218.10
HECK GEN 79292 TOTAL FOR FUND 2:
336.70
07/25/2023
GEN
79294*
RELIANCE STANDARD LIFE -LIFE
LTD INSURANCE-20o GAS
242-000-
00
406.
91
LIFE INSURANCE-20o GAS
242-000-
00
257.28
HECK GEN 79294 TOTAL FOR FUND 2:
664.19
07/25/2023
GEN
79301
TOTAL COMPLIANCE SOLUTIONS INC
Materials
401-874-
04
90.00
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 2 GAS
07/25/2023
GEN
79303*
TREVOR TUMAN
DEP REFUND/APPLIED
235-000-
00
07/25/2023
GEN
79305*
UNITED INFORMATION SERVICES, INC
COLLECTION - MATERIALS
401-903-
06
07/25/2023
GEN
79308
VERIZON WIRELESS
UTILITIES (ELECTRIC, SATELLITE-SCADA
401-856-
05
07/25/2023
GEN
79312*4
WEST CENTRAL SANITATION INC
UTILITY ESP - WATER/WASTE 45/55-
401-930-
08
07/26/2023
GEN
1483(E)*
ALERUS
HEALTH INSURANCE
401-926-
08
08/01/2023
GEN
1484(E)*
GUARDIAN
DENTAL INSURANCE-20o GAS
242-000-
00
08/02/2023
GEN
1494(E)*
PAY MENTECH
collection - Materials
401-903-
06
08/02/2023
GEN
1498(E)*
CITIZENS BANK
Office Supplies
401-921-
08
08/07/2023
GEN
1487(E)*
AMERICAN PUBLIC POWER ASSOCIATION
Meetings & Travel - Expense (S
401-903-
06
08/09/2023
GEN
79314*4
ACE HARDWARE
SERVICES
107-380-
00
Materials
401-874-
04
Materials
402-892-
04
HECK GEN 79314 TOTAL FOR FUND 2:
08/09/2023
GEN
79315*
ADAM WRASPIR
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79318*
AMANDA FAIRBROTHER OR JUSTIN MONS
DEP REFUND/APPLIED
235-000-
00
08/09/2023
GEN
79319*
AMERICAN PAYMENT CENTERS INC
BOX RENTAL
401-903-
06
08/09/2023
GEN
79320*4
AUTO VALUE GLENCOE
Power Equipment - Materials
402-895-
04
08/09/2023
GEN
79321*
BAILEY DENNIS
DEP REFUND/APPLIED
235-000-
00
Page 28/38
Amount
63.00
1,629.04
312.20
216.94
129.06
897.50
1,342.11
86.61
416.25
41.52
19.64
19.23
80.39
38.50
38.50
41.84
107.88
105.00
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
Fund: 2 GAS
08/09/2023 GEN 79323* BIRCHDALE FIRE & SAFETY
08/09/2023 GEN 79325*4 BORDER STATES ELECTRIC SUPPLY
08/09/2023 GEN 79326* BRADEN OR EMILY CEDERSTROM
08/09/2023 GEN 79327* BRENDA ANDERSEN
08/09/2023 GEN 79329 BROWN COUNTY RURAL ELECTRIC
08/09/2023 GEN 79330* BRYAN OR LORI LINDEMEIER
08/09/2023 GEN 79331* CALYN LANDFAIR
08/09/2023 GEN 79332 CARTER, JEREMY
08/09/2023 GEN 79334 CENTRAL HYDRAULICS
08/09/2023 GEN 79335 CENTURYLINK
08/09/2023 GEN 79336*4 CINTAS CORPORATION 4470
Account Dept
Page 29/38
Amount
GROUNDS - OUTSIDE SERVICES
401-935-
08
93.78
NIPPLE, 1" X 3 1/2", BM, STD, SMLS, TEE
154-000-
00
33.10
NIPPLE, 1/4" X 2", BM, STD, SMLS, TEE
154-000-
00
8.49
NIPPLE, 1/4" X 3", BM, STD, SMLS, TEE
154-000-
00
13.72
NIPPLE, 1/4" X 4", BM, STD, SMLS, TEE
154-000-
00
14.04
ELL, STREET, 90 DEG, 3/4", BM, CLASS
154-000-
00
28.32
TAPE, TEFLON, 1/2" X 260", HIGH
154-000-
00
15.68
NIPPLE, 3/4" X 4", BM, STD, SMLS, TEE
154-000-
00
13.95
NIPPLE, 3/4" X 3", STD, BM, SMLS, TEE
154-000-
00
11.25
COUPLING, BM, CLASS 150, 1/2", FEMALE
154-000-
00
7.11
Materials
401-874-
04
1.95
PIPE, 3/4", - NEVER RCVD - CREDITED
401-874-
04
414.80
TAX
401-874-
04
29.01
PIPE - 34" - NEVER RCVD
401-874-
04
(435.54)
TAX
401-874-
04
(29.94)
HECK GEN 79325 TOTAL FOR FUND 2:
125.94
DEP REFUND/APPLIED
235-000-
00
70.00
DEP REFUND/APPLIED
235-000-
00
52.50
Utilities (Electric, Satellite
401-856-
05
198.69
DEP REFUND/APPLIED
235-000-
00
35.00
Meetings & Travel - Expense (S
401-903-
06
120.22
Cip - Residential
401-916-
07
25.00
Materials
402-892-
04
4.02
Utilities (Electric, Satellite
401-856-
05
73.17
UNIFORMS & LAUNDRY
401-880-
04
86.46
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 30/38
Amount
Fund: 2 GAS
UNIFORMS & LAUNDRY
401-880-
04
86.46
UNIFORMS & LAUNDRY
401-880-
04
93.60
HECK GEN 79336 TOTAL FOR FUND 2:
266.52
08/09/2023
GEN
7933714
CITY OF HUTCHINSON
VEHICLE/EQUIPMENT FUEL -GAS
401-880-
04
1,833.71
VEHICLES/EQUIPMENT FUEL-ADMIN 55/45
401-935-
08
20.49
HECK GEN 79337 TOTAL FOR FUND 2:
1,854.20
08/09/2023
GEN
79338*
CLEO O'BRIEN
DEP REFUND/APPLIED
235-000-
00
70.00
08/09/2023
GEN
79339
CROW RIVER FLORAL
Office Supplies
401-921-
08
65.00
08/09/2023
GEN
79340*
DANIELLE TEWS
DEP REFUND/APPLIED
235-000-
00
21.00
08/09/2023
GEN
79341*
DAVID DONNAY
DEP REFUND/APPLIED
235-000-
00
28.00
08/09/2023
GEN
79342*
DAVID MEDINA
DEP REFUND/APPLIED
235-000-
00
49.00
08/09/2023
GEN
79343*
DAVID OR NANCY HEIDEBRINK
DEP REFUND/APPLIED
235-000-
00
66.50
08/09/2023
GEN
79344*
DEBRA JAQUA
DEP REFUND/APPLIED
235-000-
00
35.00
08/09/2023
GEN
79347*
DYLAN NUSSBAUM OR HILDA GARCIA
DEP REFUND/APPLIED
235-000-
00
126.00
08/09/2023
GEN
79348*
EHLERS & ASSOCIATES, INC
REGULATORY EXPENSES
401-928-
08
225.00
08/09/2023
GEN
79350
FIRST CLASS BUILDERS
Cip - Residential
401-916-
07
350.00
Cip - Residential
401-916-
07
325.00
HECK GEN 79350 TOTAL FOR FUND 2:
675.00
08/09/2023
GEN
79352*4
GOPHER STATE ONE -CALL INC
Materials
401-874-
04
218.70
Line - Outside Services
401-856-
05
32.40
08/23/2023 01:22
PM
CHECK DISBURSEMENT
REPORT FOR HUTCHINSON UTILITIES
Page 31/38
User: JMartig
CHECK DATE FROM
07/21/2023 - 08/23/2023
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 2 GAS
HECK GEN 79352 TOTAL FOR FUND 2:
251.10
08/09/2023
GEN
793544
GROEBNER & ASSOCIATES INC
Sensus AMI Module, 100GM-A,
107-381-
00
8,135.25
FREIGHT & TAX
401-874-
04
663.89
HECK GEN 79354 TOTAL FOR FUND 2:
8,799.14
08/09/2023
GEN
79356*
HANNA SEIFERT
DEP REFUND/APPLIED
235-000-
00
77.00
08/09/2023
GEN
79358*
HEALTH PARTNERS
HEALTH INSURANCE-15o GAS
242-000-
00
9,056.24
08/09/2023
GEN
79360*
HOEN ENTERPRISE
DEP REFUND/APPLIED
235-000-
00
493.50
08/09/2023
GEN
79362*
HUTCHFIELD SERVICES
Grounds - Outside Services
401-935-
08
894.44
08/09/2023
GEN
79364*4
HUTCHINSON LEADER
Cip - Marketing
401-916-
07
110.99
Cip - Marketing
401-916-
07
42.07
Advertising/Printing
401-921-
08
500.00
HECK GEN 79364 TOTAL FOR FUND 2:
653.06
08/09/2023
GEN
79367*
JAKE WILLIAMS
DEP REFUND/APPLIED
235-000-
00
105.00
08/09/2023
GEN
79369*
JLR GARAGE DOOR SERVICE INC
Misc Other - Materials
401-935-
08
101.25
08/09/2023
GEN
79370*
JOHANNA MERTEN OR RYAN HOUSEMAN
DEP REFUND/APPLIED
235-000-
00
31.50
08/09/2023
GEN
79372*
JOHNATHON DOBIE
DEP REFUND/APPLIED
235-000-
00
105.00
08/09/2023
GEN
79377*
KRISTI WHITCOMB
DEP REFUND/APPLIED
235-000-
00
70.00
08/09/2023
GEN
79379
LANDSKAPINGS
SERVICES
107-380-
00
600.00
08/09/2023
GEN
79380*
LEAH MULENBURG
DEP REFUND/APPLIED
235-000-
00
87.50
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 32/38
Amount
Fund: 2 GAS
08/09/2023
GEN
79381*
LELUK PROPERTIES LLC
DEP REFUND/APPLIED
235-000-
00
70.00
08/09/2023
GEN
79383*
LINDA STEIN
DEP REFUND/APPLIED
235-000-
00
96.25
08/09/2023
GEN
79384*
LOGAN ZWAYER
DEP REFUND/APPLIED
235-000-
00
38.50
08/09/2023
GEN
79385*
LYLE FASHANT
DEP REFUND/APPLIED
235-000-
00
26.25
08/09/2023
GEN
79387*
MARCO TECHNOLOGIES, LLC
OFFICE SUPPLIES
401-921-
08
173.89
08/09/2023
GEN
79388*
MARK GRESSEL
DEP REFUND/APPLIED
235-000-
00
35.00
08/09/2023
GEN
79390*
MATTHEW THUL
DEP REFUND/APPLIED
235-000-
00
35.00
08/09/2023
GEN
79391*
MATTHEW TRETTIN
DEP REFUND/APPLIED
235-000-
00
112.00
08/09/2023
GEN
79393*
MERCEDES NARVAEZ RAMIREZ
DEP REFUND/APPLIED
235-000-
00
42.00
08/09/2023
GEN
79396*
NATALIE NELSON
DEP REFUND/APPLIED
235-000-
00
24.50
08/09/2023
GEN
79397*
NATHAN REBERG
DEP REFUND/APPLIED
235-000-
00
35.00
08/09/2023
GEN
79398
NORTHERN BORDER PIPELINE CO
LINE - OUTSIDE SERVICES -INTERCONNECT
401-856-
05
2,000.00
08/09/2023
GEN
79399*
NUVERA
TELEPHONE
401-921-
08
638.51
08/09/2023
GEN
79400*4
OXYGEN SERVICE COMPANY INC
Materials
401-874-
04
94.79
Materials
401-874-
04
86.61
HECK GEN 79400 TOTAL FOR FUND 2:
181.40
08/09/2023
GEN
79402*4
PRO AUTO & TRANSMISSION REPAIR
Vehicles - Material
402-895-
04
63.05
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 2 GAS
Vehicles - Material
402-895-
04
Vehicles - Material
402-895-
04
Vehicles - Material
402-895-
04
HECK GEN 79402 TOTAL FOR FUND 2:
08/09/2023 GEN 79404*
REED MITCHELL DEP REFUND/APPLIED
235-000-
00
08/09/2023 GEN 794064
RHINO MARKING & PROTECTION SYSTEMS MARKER, RHINO DOME, 96" WITH POST,
YELL 154-000-
00
FREIGHT
401-874-
04
-n7ry r-mT '7 Qin r, TnT a T. 7nP 7TWM 'J•
08/09/2023 GEN 79407* RICHARD WILSON
08/09/2023 GEN 79409*4 RUNNING'S SUPPLY INC
08/09/2023 GEN 79410 RUSCH, BRYCE
08/09/2023 GEN 79413* SHRED RIGHT
08/09/2023 GEN 79414 SOUTH CENTRAL ELECTRIC ASS'N
08/09/2023 GEN 79415*4 STANDARD PRINTING & MAILING
08/09/2023 GEN 79417* TYFANY WEHMEYER
08/09/2023 GEN 79418* UNITED PARCEL SERVICE
08/09/2023 GEN 79419* VAL OR ALVINA FERRIAN
08/09/2023 GEN 79420* VANDENBERG, DAVID
08/09/2023 GEN 79421* VERIZON WIRELESS
DEP REFUND/APPLIED
235-000-
00
Materials
401-874-
04
Public Awareness - Material
401-856-
05
OFFICE SUPPLIES -SHREDDING SERVICES
401-921-
08
UTILITIES (ELECTRIC, SATELLITE
401-856-
05
Office Supplies
401-921-
08
DEP REFUND/APPLIED
235-000-
00
MAIL SERVICES - UPS, FEDEX
401-921-
08
DEP REFUND/APPLIED
235-000-
00
Cip - Residential
401-916-
07
TELEPHONE
401-921-
08
Page 33/38
Amount
130.77
225.82
79.35
498.99
26.25
1,040.00
307.87
1,347.87
31.50
8.06
106.80
5.16
51.00
151.98
105.00
35.19
26.25
50.00
345.34
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 34/38
Amount
Fund: 2 GAS
08/09/2023
GEN
79429
WSB
WSB to provide design, engineering
107-366-
00
4,577.23
STRUCTURES & IMPROVEMENTS
107-366-
00
261.27
HECK GEN 79429 TOTAL FOR FUND 2:
4,838.50
08/10/2023
GEN
1495(E)*
INVOICE CLOUD
collection - Materials
401-903-
06
1,428.61
08/16/2023
GEN
1488(E)*4
VISA
Materials
401-874-
04
113.25
Uniforms & Laundry
401-880-
04
79.98
Utilities (Electric, Satellite
401-856-
05
101.54
Training - Expense
401-930-
08
1,147.44
HECK GEN 1488(E) TOTAL FOR FUND 2:
1,442.21
08/16/2023
GEN
1505(E)*
VISA
Office Supplies
401-921-
08
6.48
Office Supplies
401-921-
08
12.57
Office Supplies
401-921-
08
14.61
Office Supplies
401-921-
08
29.87
Breakroom/Recognition Banquet
401-926-
08
5.47
Breakroom/Recognition Banquet
401-926-
08
10.19
Breakroom/Recognition Banquet
401-926-
08
7.47
Training - Expense
401-930-
08
125.00
HECK GEN 1505(E) TOTAL FOR FUND 2:
211.66
08/17/2023
GEN
1496(E)
PUBLIC ENERGY AUTHORITY OF
Gas For Retail
401-807-
04
133,740.51
Contract Gas For Retail
401-807-
04
43.40
HECK GEN 1496(E) TOTAL FOR FUND 2:
133,783.91
08/22/2023
GEN
1489(E)*
MINNESOTA REVENUE
State Sales Tax
242-000-
00
12,885.00
City Sales Tax
242-000-
00
932.00
COUNTY SALES TAX
242-000-
00
932.00
HECK GEN 1489(E) TOTAL FOR FUND 2:
14,749.00
08/22/2023
GEN
79433*4
ACE HARDWARE
Materials
401-874-
04
1.89
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Description
Fund: 2 GAS
08/22/2023 GEN 79440*4 CINTAS CORPORATION 4470
08/22/2023 GEN 79441*4 CITY OF HUTCHINSON
08/22/2023 GEN 79443*4 DESIGN ELECTRIC, INC
08/22/2023 GEN 79447* FIRST CHOICE FOOD & BEVERAGE
08/22/2023 GEN 79449 GOODIN COMPANY
08/22/2023 GEN 794524 GROEBNER & ASSOCIATES INC
08/22/2023 GEN 79454 HANSEN GRAVEL INC
08/22/2023 GEN 794584 IDEAL SHIELD
Account Dept
Page 35/38
Amount
UNIFORMS & LAUNDRY
401-880-
04
93.60
UNIFORMS & LAUNDRY
401-880-
04
64.23
UNIFORMS & LAUNDRY
401-880-
04
99.59
HECK GEN 79440 TOTAL FOR FUND 2:
257.42
IT ADMIN AND SUPPORT 75/25
401-921-
08
4, 933.33
Utility Expenses - Water/Waste
401-930-
08
10.15
Utility Expenses - Water/Waste
401-930-
08
423.78
HECK GEN 79441 TOTAL FOR FUND 2:
5,367.26
Materials
402-892-
04
10.63
BREAKROOM/RECOGNITION BANQUET
401-926-
08
33.75
TAX
401-874-
04
6.24
6x3 weld reducer, STD
402-892-
04
36.57
6" ANSI 150 smooth face, weld flange
402-892-
04
54.20
HECK GEN 79449 TOTAL FOR FUND 2:
97.01
Sensus Smart Point - 700GM, 2-Way, NA2G
107-381-
00
4,881.60
FREIGHT & TAX
401-874-
04
941.10
Materials
401-874-
04
359.65
AAT60/90 Repair, Base Repair 8" Meter
416-108-
04
3,784.78
HP Refurbishment, 8" - 12" Turbine
416-108-
04
3,784.78
Additional Parts for AAT-90 Repair,
416-108-
04
2,086.64
HECK GEN 79452 TOTAL FOR FUND 2:
15,838.55
SERVICES
107-380-
00
120.23
SERVICES
107-380-
00
81.23
HECK GEN 79454 TOTAL FOR FUND 2:
201.46
BUMPER POST SHIELD, 1/8" WALL
154-000-
00
367.
92
08/23/2023 01:22 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 07/21/2023 - 08/23/2023
Payee Description
Account
Dept
Page 36/38
Amount
Fund: 2 GAS
FREIGHT & TAX
401-874-
04
84.94
HECK GEN 79458 TOTAL FOR FUND 2:
452.86
08/22/2023
GEN
79459*
INNOVATIVE OFFICE SOLUTIONS
Office Supplies
401-921-
08
65.03
Office Supplies
401-921-
08
1.14
CHECK GEN 79459 TOTAL FOR FUND 2:
66.17
08/22/2023
GEN
79460
JAY HAMILTON
Cip - Residential
401-916-
07
350.00
08/22/2023
GEN
79465
KURTH WELDING & REPAIR
SERVICES
107-380-
00
131.00
08/22/2023
GEN
79467*4
LOCATORS & SUPPLIES INC
PAINT, LOCATING, YELLOW (258),
154-000-
00
48.
98
PAINT, LOCATING, YELLOW (258),
154-000-
00
600.48
FREIGHT & TAX
401-874-
04
21.61
FREIGHT & TAX
401-874-
04
113.64
CHECK GEN 79467 TOTAL FOR FUND 2:
784.71
08/22/2023
GEN
794694
MCLEOD COOPERATVIE POWER ASSN
MISC EXPENSE -GAS LINE PUMP
401-880-
04
54.
32
UTILITIES (ELECTRIC, SATELLITE-MCLEOD
401-856-
05
38.66
CHECK GEN 79469 TOTAL FOR FUND 2:
92.98
08/22/2023
GEN
79472*4
NORTHERN STATES SUPPLY INC
TAX & FREIGHT
401-874-
04
13.89
14" X .125 X UNV STAR BLUE DIAMOND
401-874-
04
108.62
CHECK GEN 79472 TOTAL FOR FUND 2:
122.51
08/22/2023
GEN
794734
NOVASPECT INC
FB107 CPU
107-370-
00
882.40
Materials
401-874-
04
30.20
CHECK GEN 79473 TOTAL FOR FUND 2:
912.60
08/22/2023
GEN
79474*
PALADIN TECHNOLOGIES INC
Grounds - Outside Services
401-935-
08
121.50
Grounds - Outside Services
401-935-
08
40.50
CHECK GEN 79474 TOTAL FOR FUND 2:
162.00
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 2 GAS
08/22/2023
GEN
79476*
PREMIUM WATERS INC
OFFICE SUPPLIES -BOTTLED WATER
401-921-
08
08/22/2023
GEN
79478*
RELIANCE STANDARD LIFE -LIFE
LTD INSURANCE-20o GAS
242-000-
00
LIFE INSURANCE-20o GAS
242-000-
00
HECK GEN 79478 TOTAL FOR FUND 2:
08/22/2023
GEN
79479*
REMINGTON, PHILIP
Cip - Residential
401-916-
07
08/22/2023
GEN
79482*
STANDARD PRINTING & MAILING
collection - Materials
401-903-
06
Collection - Materials
401-903-
06
HECK GEN 79482 TOTAL FOR FUND 2:
08/22/2023
GEN
79484
STEVE WENDLANDT
Cip - Residential
401-916-
07
08/22/2023
GEN
794854
SWAGELOK MINNESOTA
TEE, 3/8" SWAGE, SST, SWAGELOK SS 600-3
154-000-
00
ELBOW, 3/8" PIPE TO SWAGE, SST,
154-000-
00
TEE, 3/8" TO PIPE, SST, SWAGELOK SS
154-000-
00
FERRULES, 3/8", SST, SWAGELOK SS
154-000-
00
CONNECTOR, MALE, 3/8" TUBE X 1/4" PIPE
154-000-
00
TUBING, 1/2" X .049" WALL, 316 SS,
154-000-
00
ELBOW REDUCING, 3/8" TUBE X 3/4" MNPT
154-000-
00
UNION, REDUCING, 3/8" TUBE X 3/4" MNPT
154-000-
00
FREIGHT & TAX
401-874-
04
TAX
401-874-
04
HECK GEN 79485 TOTAL FOR FUND 2:
08/22/2023
GEN
79486*
TODD BRANDEL
Cip - Residential
401-916-
07
08/22/2023
GEN
79489*
UNITED INFORMATION SERVICES, INC
COLLECTION - MATERIALS
401-903-
06
08/22/2023
GEN
79490
VERIZON WIRELESS
UTILITIES (ELECTRIC, SATELLITE-SCADA
401-856-
05
08/22/2023
GEN
79491*4
WEST CENTRAL SANITATION INC
UTILITY ESP - WATER/WASTE 45/55-
401-930-
08
Total for fund 2 GAS
Page 37/38
Amount
8.20
418.02
267.80
685.82
50.00
23.40
1,232.55
1,255.95
350.00
411.80
602.25
1,255.50
67.00
347.00
699.60
277.50
240.90
41.59
400.00
1,683.50
312.20
217.85
244,001.21
08/23/2023 01:22 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 07/21/2023 - 08/23/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
TOTAL - ALL FUNDS
--INDICATES CHECK DISTRIBUTED TO MORE THAN ONE FUND
'#'-INDICATES CHECK DISTRIBUTED TO MORE THAN ONE DEPARTMENT
Page 38/38
Amount
3,733,376.65
HUTCHINSON UTILITIES COMMISSION
COMBINED DIVISIONS
FINANCIAL REPORT FOR JULY, 2023
Combined Division
Customer Revenue
Sales for Resale
NU Transportation
Electric Division Transfer
Other Revenues
Interest Income
TOTAL REVENUES
Salaries & Benefits
Purchased Commodities
Transmission
Generator Fuel/Chem.
Depreciation
Transfers (Elect./City)
Operating Expense
Debt Interest
TOTAL EXPENSES
NET PROFIT/(LOSS)
2023
2022
Di
%Chnq
2023
2022
Di
%Chnq
Full Yr Bud
%of Bud
$ 2,660,209
$ 3,263,647
$ (603,439)
(18.5%)
$ 21,124,637
$ 22,981,346
$
(1,856,708)
(8.1%)
$ 38,930,509
54.3%
$ 468,395
$ 781,204
$ (312,809)
(40.0%)
$ 3,274,668
$ 2,615,867
$
658,801
25.2%
$ 4,230,000
77.4%
$ 86,441
$ 98,485
$ (12,044)
(12.2%)
$ 607,911
$ 621,221
$
(13,311)
(2.1%)
$ 1,354,349
44.9%
$ 59,960
$ 59,724
$ 236
0.4%
$ 419,718
$ 418,065
$
1,653
0.4 o
$ 719,517
58.3%
$ 32,650
$ 39,073
$ (6,423)
(16.4%
$ 294,200
$ 386,070
$
(91,870)
(23.8%)
$ 484,081
60.8%
$ 77,007
$ 40,538
$ 36,470
90.0%
$ 541,104
$ 245,671
$
295,433
120.3%
$ 533,457
101.4%
$ 3,384,661
$ 4,282,670
$ (898,009)
(21.0%)
$ 26,262,238
$ 27,268,240
$
(1,006,002)
(3.7%)
$ 46,251,913
56.8%
$ 570,750 $ 566,536 $ 4,214
$ 1,477,069 $ 1,807,086 $ (330,017)
$ 327,199 $ 347,443 $ (20,244)
$ 241,350 $ 608,668 $ (367,319)
$ 361,507 $ 377,322 $ (15,815)
$ 218,671 $ 215,323 $ 3,348
$ 179,015 $ 253,222 $ (74,207)
$ 65,534 $ 75,076 $ (9,542)
$ 3,441,096 $ 4,250,677 $ (809,581)
$ (56,435) $ 31,993 $ (88,428)
0.74% $ 4,123,292 $ 3,961,707 $ 161,586 4.1% $ 7,510,583
(18.3%) $ 12,267,074 $ 13,238,810 $ (971,735) (7.3%) $ 21,566,760
(5.8%) $ 2,025,957 $ 1,678,895 $ 347,061 20.7% $ 3,325,000
(60.3%) $ 760,122 $ 1,363,918 $ (603,797) (44.3%) $ 1,760,606
(4.2%) $ 2,599,471 $ 2,647,250 $ (47,780) (1.8%) $ 4,400,000
1.6% $ 1,530,698 $ 1,507,260 $ 23,437 1.6% $ 2,624,053
(29.3%) $ 1,633,871 $ 1,820,797 $ (186,926) (10.3%) $ 3,209,835
(12.7%) $ 458,737 $ 525,529 $ (66,792) 12.7% $ 786,406
(19.0%) $ 25,399,220 $ 26,744,166 $ (1,344,946) (5.0%) $ 45,183,243
(276.4%) $ 863,018 $ 524,074 $ 338,944 64.7% $ 1,068,670
July
July
YTD
YTD
2023
2022
Change
2023
2022
Change
Gross Margin %:
26.8%
24.9%
1.9%
30.9%
29.3%
1.6%
Operating Income Per Revenue $ (%):
-2.7%
1.0%
-3.7%
2.4%
2.0%
0.4%
Net Income Per Revenue $ (%):
-1.7%
0.7%
-2.4%
3.3%
1.9%
1.4%
54.9%
56.9%
60.9%
43.2%
59.1%
58.3%
50.9%
58.3%
56.2%
80.8%
HUTCHINSON UTILITIES COMMISSION
ELECTRIC DIVISION
FINANCIAL REPORT FOR JULY, 2023
I
Year Com
58.30 of Comp.
2023
2022
Di , %Chna 2023 2022
Di ,
%Chna
Full YrBud
%of Bud
Electric Division
Customer Revenue
$
2,150,924
$ 2,672,633
$
(521,710) (19.5%) $ 13,409,089 $ 14,524,850
$ (1,115,761)
(7.7%)
$ 25,750,654
52.1%
Sales for Resale
$
468,395
$ 781,204
$
(312,809) (40.0%) $ 3,274,668 $ 2,615,867
$ 658,801
25.2%
$ 4,230,000
77.4%
Other Revenues
$
11,387
$ 16,038
$
(4,651) (29.0%) $ 114,081 $ 195,070
$ (80,989)
(41.5%)
$ 187,047
61.0%
Interest Income
$
40,027
$ 21,684
$
18,343 84.6% $ 280,439 $ 132,615
$ 147,824
111.5%
$ 283,457
98.9%
TOTAL REVENUES
$
2,670,732
$ 3,491,559
$
(820,827) (23.5%) $ 17,078,278 $ 17,468,403
$ (390,125)
(2.2%)
$ 30,451,158
56.1%
Salaries & Benefits
$
428,346
$ 430,417
$ (2,070)
(0.5%)
$
3,121,172
$ 2,996,565
$ 124,607
4.2%
$ 5,465,303
57.1%
Purchased Power
$
1,194,724
$ 1,445,797
$ (251,073)
(17.4%)
$
7,325,147
$ 7,597,064
$ (271,917)
(3.6%)
$ 12,862,000
57.0%
Transmission
$
327,199
$ 347,443
$ (20,244)
(5.8%)
$
2,025,957
$ 1,678,895
$ 347,061
20.7%
$ 3,325,000
60.9%
Generator Fuel/Chem.
$
241,350
$ 608,668
$ (367,319)
(60.3%)
$
760,122
$ 1,363,918
$ (603,797)
(44.3%)
$ 1,760,606
43.2%
Depreciation
$
271,044
$ 286,083
$ (15,038)
(5.3%)
$
1,964,877
$ 2,008,036
$ (43,159)
(2.1%)
$ 3,300,000
59.5%
Transfers (Elect./City)
$
169,911
$ 167,519
$ 2,392
1.4%
$
1,189,376
$ 1,172,632
$ 16,745
1.4%
$ 2,038,931
58.3%
Operating Expense
$
138,502
$ 192,426
$ (53,924)
(28.0%)
$
1,155,227
$ 1,269,178
$ (113,952)
(9.0%)
$ 1,954,789
59.1%
Debt Interest
$
37,738
$ 40,071
$ (2,333)
(5.8%)
$
264,166
$ 280,500
$ (16,333)
5.8%
$ 452,856
58.3%
TOTAL EXPENSES
$
2,808,814
$ 3,518,424
$ (709,610)
(20.2%)
$
17,806,043
$ 18,366,788
$ (560,745)
(3.1%)
$ 31,159,485
57.1%
NET PROFIT/(LOSS)
$
(138,082)
$ (26,865)
$ (111,217)
414.0%
$
(727,765)
$ (898,386)
$ 170,621
(19.0%)
$ (708,327)
102.7%
f p
I
�y� �IJ kkkkNN
�y�yy�� pprr� yyy
n
58,3r6 Comp. Year of :.e .
, .p
2023
2022
Di ,
%Chna
2023
2022
Di ,
%Chna
Full YrBud
%of Bud
Electric Division
Residential
5,703,847
6,127,259
(423,412)
(6.91%)
31,654,237
31,842,143
(187,906)
(0.59%)
54,834,787
57.7%
All Electric
155,525
176,450
(20,925)
(11.86%)
1,563,524
1,743,398
(179,874)
(10.32%)
2,716,035
57.6%
Small General
1,780,259
1,737,390
42,869
2.47%
10,915,891
10,712,091
203,800
1.90%
18,332,200
59.5%
Large General
7,539,100
7,744,050
(204,950)
(2.65%)
46,207,810
49,282,210
(3,074,400)
(6.24%)
84,325,256
54.8%
Industrial
10,010,000
10,865,000
(855,000)
(7.87%)
63,064,000
67,543,000
(4,479,000)
(6.63%)
120,422,724
52.4%
Total KWH Sold
25,188,731
26,650,149
(1,461,418)
(5.48%)
153,405,462
161,122,842
(7,717,380)
(4.79%)
280,631,002
54.7%
July
July
YTD
YTD
2023
HUC
2023
2022
Change
2023
2022
Change
Budget
Target
Gross Margin %: 19.6% 19.5% 0.1% 24.9% 23.8% 1.1% 26.7%
Operating Income Per Revenue $ (%): -5.4% -0.4% -5.0% -4.6% -5.0% 0.4% -1.9%
Net Income Per Revenue $ (%):
-5.2%
-0.8%
-4.4%
-4.3%
-5.1%
0.9%
-2.3%
Customer Revenue per KWH:
$0.0854
$0.1003
-$0.0149
$0.0874
$0.0901
-$0.0027
$0.0918 $0.0918
Total Power Supply Exp. per KWH:
$0.0839
$0.1046
-$0.0207
$0.0821
$0.0814
$0.0007
$0.0786 $0.0786
Notes/Graphs:
Net Loss increased by $111,217 over July 2022. This is mostly due to our decreased sales from both lower usage as well as charging an extra $425,260 in power
cost adjustments in 2022. Sales for Resale also was down with the ending of our tolling agreement with Dynasty Power in June.
Sales for Resale of $468,395 consisted of $224,145 in market sales, $98,000 in capacity sales to Rice Lake, and $146,250 in capacity sales to AEP. July 2022 Sales for
Resale of $781,204 included $156,064 in market sales, $98,000 in capacity sales to Rice Lake, $146,250 in capacity sales to AEP and $380,890 in tolling and sales to
Dynasty Power. July 2021 Sales for Resale of $472,887 consisted of $228,637 in market sales, $146,250 in capacity sales to AEP, and $98,000 in capacity sales to
Rice Lake.
Overall Purchased Power decreased by $251,073. MRES purchases increased by $181 and market purchases/MISO costs decreased by $251,254.
The average cost of MISO power was $26.38/mwh (3,190 mwh's purchased), compared to $50.38/mwh (5,793 mwh's purchased) in June 2022.
Power Cost Adjustment for July 2023 was $.00000/kwhr bringing in $304,953 YTD.
Power Cost Adjustment for July 2022 was $.01595/kwhr bringing in $425,260 for the month and $776,012 YTD.
Gas Division
Customer Revenue
Transportation
Electric Div. Transfer
Other Revenues
Interest Income
TOTAL REVENUES
Salaries & Benefits
Purchased Gas
Operating Expense
Depreciation
Transfers (City)
Debt Interest
TOTAL EXPENSES
NET PROFIT/(LOSS)
HUTCHINSON UTILITIES COMMISSION
GAS DIVISION
FINANCIAL REPORT FOR JULY, 2023
2023
2022
2
% Chna
2023
2022
2 .
$ 509,285
$ 591,014
$
(81,729)
(13.8%)
$ 7,715,548
$ 8,456,495
$ (740,947)
$ 86,441
$ 98,485
$
(12,044)
(12.2%)
$ 607,911
$ 621,221
$ (13,311)
$ 59,960
$ 59,724
$
236
0.4%
$ 419,718
$ 418,065
$ 1,653
$ 21,263
$ 23,035
$
(1,772)
(7.7%)
$ 180,119
$ 191,000
$ (10,881)
$ 36,980
$ 18,854
$
18,127
96.1%
$ 260,664
$ 113,056
$ 147,608
$ 713,929
$ 791,111
$
(77,182)
(9.8%)
$ 9,183,960
$ 9,799,837
$ (615,877)
% Chna
58.3% of Year
Full Yr Bud
$ 13,179,855
Comp.
% of Bud
58.5%
(8.8%)
(2.1%)
$ 1,354,349
44.9%
0.4%
$ 719,517
58.3%
(5.7%)
$ 297,034
60.6%
130.6%
$ 250,000
104.3%
(6.3%)l $ 15,800,755 58.1%
$ 142,404 $ 136,119 $ 6,284 4.6% $ 1,002,121 $ 965,142 $ 36,979 3.8% $ 2,045,280
$ 282,345 $ 361,289 $ (78,944) (21.9%) $ 4,941,927 $ 5,641,746 $ (699,818) (12.4%) $ 8,704,760
$ 40,514 $ 60,796 $ (20,283) (33.4%) $ 478,644 $ 551,618 $ (72,974) (13.2%) $ 1,255,046
$ 90,463 $ 91,239 $ (776) (0.9%) $ 634,593 $ 639,214 $ (4,621) (0.7%) $ 1,100,000
$ 48,760 $ 47,804 $ 956 2.0% $ 341,321 $ 334,629 $ 6,693 2.0% $ 585,122
$ 27,796 $ 35,004 $ (7,208) 0.0% $ 194,571 $ 245,029 $ (50,458) 20.6% $ 333,550
$ 632,281 $ 732,252 $ (99,971) (13.7%) $ 7,593,177 $ 8,377,378 $ (784,201) (9.4%) $ 14,023,758
$ 81,647 $ 58,,�yy8g�59 $kkkkNNN 22,789 38.7% $ 1,590,783 $ 1,422,460 $ 168,323 11.8% $ 1,776,997 89.5%
58.3% of Year Comp.
2023 2022 2 %Chnq I 2023 2022 2 %Chnq I Full YrBud %of Bud
49.0%
56.8%
38.1%
57.7%
58.3%
58.3%
54.1%
Gas Division
Residential
6,224,255
6,265,276
(41,021)
(0.65%)
267,004,938
303,048,078
(36,043,140)
(11.89%)
449,212,000
59.4%
Commercial
8,291,317
8,341,419
(50,102)
(0.60%)
201,823,544
229,813,342
(27,989,798)
(12.18%)
350,057,000
57.7%
Industrial
44,047,862
52,830,199
(8,782,337)
(16.62%)
493,142,920
554,088,523
(60,945,603)
(11.00%)
919,535,000
53.6%
Total CF Sold
58,563,434
67,436,894
(8,873,460)
(13.16%)
961,971,402
1,086,949,943
(124,978,541)
(11.50%)
1,718,804,000
56.0%
July
July
YTD
YTD
2023 HUC
2023
2022
Change
2023
2022
Change
Budget Target
Gross Margin %:
55.4%
49.7%
5.7%
42.3%
39.3%
3.1%
40.4%
Operating Income Per Revenue $ (%):
8.2%
7.4%
0.8%
15.7%
14.6%
1.1%
10.6% IIIIIIIIIIIIIIIIIIIIII
Net Income Per Revenue $ (%):
11.4%
7.4%
4.0%
17.3%
14.5%
2.8%
11.2% IIIIIIIIIIIIIIIIIIIIII
Contracted Customer Rev. per CF:
$0.0060
$0.0066
-$0.0006
$0.0065
$0.0062
$0.0003
$0.0063 IIIIIIIIIIIIIIII
Customer Revenue per CF:
$0.0146
$0.0145
$0.0001
$0.0095
$0.0092
$0.0002
$0.0091 M
Total Power Supply Exp. per CF:
$0.0050
$0.0056
($0.0006)
$0.0053
$0.0053
($0.0001)
$0.0053 "' 1° muuuuuuuuuuuu
Notes/Graphs:
July Net Income increased by $22,789 despite lower customer revenues due to lower Purchased Gas. Roughly 1,500 gas meters were estimated due to meter
reads not coming through with an equipment malfunction that will hopefully be fixed by next month. These were almost all residential.
ere was no fuel cost adjustment for either July 2023 or July 2022.
Current Assets
UnrestrictedlUndesignated Cash
Cash
Petty Cash
Designated Cash
Capital Expenditures - Five Yr. CIP
Payment in Lieu of Taxes
Rate Stabilization - Electric
Rate Stabilization - Gas
Catastrophic Funds
Restricted Cash
Bond Interest Payment 2017
Bond Interest Payment 2012
Debt Service Reserve Funds
Total Current Assets
Receivables
Accounts (net of uncollectible allowances)
Interest
Total Receivables
Other Assets
Inventory
Prepaid Expenses
Sales Tax Receivable
Deferred Outflows - Electric
Deferred Outflows - Gas
Total Other Assets
Total Current Assets
Capital Assets
Land & Land Rights
Depreciable Capital Assets
Accumulated Depreciation
Construction - Work in Progress
Total Net Capital Assets
HUTCHINSON UTILITIES COMMISSION
BALANCE
SHEET - CONSOLIDATED
JULY 31, 2023
Electric
Gas
Total
Total
Net Change
Division
Division
2023
2022
Total (YTD)
4,535,084.13
11,552,575.21
16,087,659.34
17,084,053.08
(996,393.74)
680.00
170.00
850.00
850.00
-
2,750,000.00
700,000.00
3,450,000.00
3,450,000.00
-
1,319,414.00
585,122.00
1,904,536.00
1,867,192.00
37,344.00
638,266.08
-
638,266.08
395,204.99
243,061.09
-
592,962.67
592,962.67
628,674.39
(35,711.72)
800,000.00
200,000.00
1,000,000.00
1,000,000.00
-
1,262,142.68
-
1,262,142.68
1,246,809.29
15,333.39
-
1,272,258.36
1,272,258.36
1,223,341.66
48,916.70
522,335.64
2,188,694.02
2,711,029.66
2,711,029.66
-
11,827,922.53
17,091,782.26
28,919,704.79
29,607,155.07
(687,450.28)
2,343,393.62
633,340.77
2,976,734.39
4,056,065.48
(1,079,331.09)
59,141.99
59,142.00
118,283.99
94,415.01
23,868.98
2,402,535.61
692,482.77
3,095,018.38
4,150,480.49
(1,055,462.11)
1,894,707.21
513,352.66
2,408,059.87
2,240,509.21
167,550.66
45,253.17
67,497.70
112,750.87
373,934.15
(261,183.28)
286,489.99
-
286,489.99
176,201.56
110,288.43
1,221,397.00
-
1,221,397.00
1,630,746.00
(409,349.00)
-
407,133.00
407,133.00
543,582.00
(136,449.00)
3,447,847.37
987,983.36
4,435,830.73
4,964,972.92
(529,142.19)
17, 678, 305.51 18, 772, 248.39
690,368.40
3,899,918.60
112,481,704.40
42,872,726.46
(68,926,846.18)
(20,898,969.51)
1,613,325.08
587,853.82
4.5,858,551.70 26,461,529.37
36,450,553.90 38,722,608.48 (2,272,054.58)
4,590,287.00
4,590,287.00
-
155,354,430.86
153,866,075.76
1,488,355.10
(89,825,815.69)
(85,506,230.85)
(4,319,584.84)
2,201,178.90
909,526.03
1,291,652.87
72,320,081.07
73,859,657.94
(1,539,576.87)
Total Assets 63,536,857.21 45,233,777.76 108,770,634.97 112,582,266.42 (3,811,631.45)
Current Liabilities
Current Portion of Long-term Debt
Bonds Payable
Bond Premium
Lease Liability - Solar Array
Accounts Payable
Accrued Expenses
Accrued Interest
Accrued Payroll
Total Current Liabilities
Long -Term Liabilities
Noncurrent Portion of Long-term Debt
2017 Bonds
2012 Bonds
Bond Premium 2012
Pension Liability- Electric
Pension Liability - Electric OPEB
Pension Liability - Nat Gas
Pension Liability - Nat Gas OPEB
Accrued Vacation Payable
Accrued Severance
Deferred Outflows - Electric
Deferred Outflows - Nat Gas
Total Long -Term Liabilities
Net Position
Retained Earnings
Total Net Position
HUTCHINSON UTILITIES COMMISSION
BALANCE SHEET - CONSOLIDATED
JULY 31, 2023
Electric Gas Total
Division Division 2023
730,000.00
19, 546.00
2,679,432.63
75,476.04
123,752.53
3,628,207.20
13,300,000.00
479,549.76
4,021,396.00
77,480.00
514,998.51
109,985.36
98,554.00
18,601,963.63
1,825,000.00
185,608.32
422,912.28
55,591.66
42,461.91
2,531,574.17
5,955,000.00
433,085.71
1,340,466.00
25,827.00
185,601.83
30,300.18
32,851.00
8,003,131.72
2,555,000.00
185,608.32
19, 546.00
3,102, 344.91
131,067.70
166,214.44
6,159,781.37
13,300,000.00
5,955,000.00
912,635.47
4,021,396.00
77,480.00
1,340,466.00
25,827.00
700,600.34
140,285.54
98,554.00
32,851.00
26,605,095.35
Total Net Change
2022 Total (YTD)
2,430,000.00 125,000.00
185,608.32 -
- 19,546.00
3,189,288.87 (86,943.96)
150,151.06 (19,083.36)
151,841.48 14,372.96
6,106,889.73 52,891.64
14,030,000.00
(730,000.00)
7,780,000.00
(1,825,000.00)
1,131,700.75
(219,065.28)
2,219,565.00
1,801,831.00
94,162.00
(16,682.00)
739,855.00
600,611.00
31,387.00
(5,560.00)
595,141.98
105,458.36
123,254.85
17,030.69
2,041,393.00
(1,942,839.00)
680,464.00
(647,613.00)
29,466,923.58 (2,861,828.23)
41,306,686.38 34,699,071.87 76,005,758.25 77,008,453.11 (1,002,694.86)
41,306,686.38 34,699,071.87 76,005,758.25 77,008,453.11 (1,002,694.86)
Total Liabilities and Net Position 63,536,857.21 45,233,777.76 108,770,634.97 112,582,266.42 (3,811,631.45)
Hutchinson Utilities Commission
Cash -Designations Report, Combined
July 31, 2023
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
July 2023
June 2023
Position
Savings, Checking, Investments varies varies varies 28,919,704.79 29,098,428.18 (178,723.39)
Total Operating Funds 28,919,704.79 29,098,428.18 (178,723.39)
Debt Reserve Requirements Bond Covenants - sinking fund
Debt Reserve Requirements Bond Covenants -1 year Max. P & I
Total Restricted Funds
Operating Reserve
Rate Stabalization Funds
PILOT Funds
Catastrophic Funds
Capital Reserves
Total Designated Funds
Min 60 days of 2023 Operating Bud.
Charter (Formula Only)
Risk Mitigation Amount
5 Year CIP (2023-2027 Fleet & Infrastructure Maintenance)
2,534,401.04 2,255,950.52 278,450.52
2,711,029.66 2,711,029.66 -
5,245,430.70 4,966,980.18 278,450.52
6,797,207.17
6,797,207.17
1,231,228.75
1,324,903.89 (93,675.14)
1,904,536.00
1,904,536.00
1, 000, 000.00
1, 000, 000.00
3,450,000.00
3,450,000.00
14,382,971.92
14,476,647.06 (93,675.14)
YE
YE
YE
YE
YTD
HUC
2019
2020
2021
2022
2023
Target
Debt to Asset 34.9%
32.3%
30.8%
31.4%
30.1%
Current Ratio 5.11
5.67
5.22
4.47
4.82
RONA 2.25%
3.62%
0.41%
-1.38%
0.90%
Change in
Cash Balance (From 12131114 to
713112023)
Month End
Electric
Elec. Change
Natural Gas
Gas Change
Total
Total Change
7/31/202 3
11,827,923
17, 091, 782
28, 919, 705
12/31/2022
11,633,212
15,450,554
27,083,766
1,835,939
12/31/2021
12,870,253
(1,237,041)
15,086,000
364,554
27,956,253
(872,487)
12/31/2020
14,239,233
(1,368,981)
15,019,173
66,827
29,258,406
(1,302,153)
12/31/2019
12,124,142
2,115,092
13,837,040
1,182,133
25,961,181
3,297,225
12/31/2018
15,559,867
(3,435,725)
12,335,998
1,501,042
27,895,864
(1,934,683)
12/31/2017
23,213,245
(7,653,378)
10,702,689
1,633,309
33,915,934
(6,020,070)
12/31/2016
8,612,801
14,600,444
9,500,074
1,202,615
18,112,875
15,803,059
12/31/2015
6,170,790
2,442,011
9,037,373
462,701
15,208,163
2,904,712
12/31/2014
3,598,821
2,571,969
6,765,165
2,272,208
10,363,986
4,844,177
* 2017's Significant increase in cash balance is due to issuing bonds for the generator project.
Hutchinson Utilities Commission
Cash -Designations Report, Electric
July 31, 2023
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
July 2023
June 2023
Position
Savings, Checking, Investments varies varies
Total HUC Operating Funds
tiectric iI
Debt Restricted Requirements Bond Covenants - sinking fund
Debt Restricted Requirements Bond Covenants -1 year Max. P & I
Total Restricted Funds
Operating Reserve
Rate Stabalization Funds
PILOT Funds
Catastrophic Funds
Capital Reserves
Total Designated Funds
varies 28,919,704.79 29,098,428.18 (178,723.39)
28,919,704.79 29,098,428.18 (178,723.39)
Min 60 days of 2023 Operating Bud.
$400 K-$1.2 K
Charter (Formula Only)
Risk Mitigation Amount
5 Year CIP (2023-2027 Fleet & Infrastructure Maintenance)
1,262,142.68 1,163,571.33 98,571.35
522,335.64 522,335.64 -
1,784,478.32 1,685,906.97 98,571.35
4,643,247.50
4,643,247.50
638,266.08
738,947.11 (100,681.03)
1, 319, 414.00
1, 319, 414.00
800,000.00
800,000.00
2,750,000.00
2,750,000.00
10,150,927.58
10,251,608.61 (100,681.03)
YE
YE
YE
YE
YTD
APPA Ratio
HUC
2019
2020
2021
2022
2023
5K-10K Cust.
Target
Debt to Asset Ratio (* w/Gen.) 34.1%
32.6%
32.2%
34.8%
35.0%
39.8%
Current Ratio 5.26
6.18
5.70
4.96
4.04
3.75
RONA -0.4%
2.5%
-1.2%
-4.2%
-1.3%
NA
>0%
Notes/Graphs:
Hutchinson Utilities Commission
Cash -Designations Report, Gas
July 31, 2023
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
July 2023
June 2023
Position
Savings, Checking, Investments varies varies
Total HUC Operating Funds
Debt Restricted Requirements Bond Covenants - sinking fund
Debt Restricted Requirements Bond Covenants -1 year Max. P & I
Total Restricted Funds
Operating Reserve
Rate Stabalization Funds
PILOT Funds
Catastrophic Funds
Capital Reserves
Total Designated Funds
varies 28,919,704.79 29,098,428.18 (178,723.39)
28,919,704.79 29,098,428.18 (178,723.39)
Min 60 days of 2023 Operating Bud.
$200K-$600K
Charter (Formula Only)
Risk Mitigation Amount
5 Year CIP (2023-2027 Fleet & Infrastructure Maintenance)
1,272,258.36 1,092,379.19 179, 879.17
2,188,694.02 2,188,694.02 -
3,460,952.38 3,281,073.21 179,879.17
2,153,959.67
2,153,959.67 -
592,962.67
585,956.78 7,005.89
585,122.00
585,122.00 -
200,000.00
200,000.00
700,000.00
700,000.00 -
4,232,044.34
4,225,038.45 7,005.89
YE
YE
YE
YE
YTD
HUC
2019
2020
2021
2022
2023
AGA Ratio
Target
Debt to Asset 36.1%
32.0%
28.8%
26.5%
23.3%
35%-50%
Current Ratio 4.96
5.18
4.79
4.06
5.89
1.0-3.0
RONA 6.4%
5.3%
2.9%
3.0%
4.1%
2%-5%
Notes/Graphs:
HUTCHINSON UTILITIES COMMISSION
Investment Report
For the Month Ended July 31, 2023
Interest
Current
Date of
Date of
Par
Current
Purchase
Unrealized
Premium
Next
Institution
Description
Rate
YTM
Purchase
Maturity
Value
Value
Amount
Gain/(Loss)
(Discount)
Call Date
Wells Fargo
Money Market
4.710%
4.710%
NA
NA
-
75,444.20
-
-
-
N/A
Wells Fargo
FHLB
4.750%
4.750%
02/01/2023
02/01/2024
1,000,000.00
996,570.00
1,000,000.00
(3,430.00)
-
N/A
Wells Fargo
FFCB
4.250%
4.250%
12/20/2022
12/20/2024
1,000,000.00
985,240.00
1,000,000.00
(14,760.00)
-
N/A
Wells Fargo
FFCB
4.000%
4.000%
40/10/2023
03/10/2025
580,000.00
570,261.80
580,000.00
(9,738.20)
-
N/A
Wells Fargo
FHLB
5.000%
5.000%
05/31/2023
11/26/2025
1,000,000.00
989,610.00
1,000,681.44
(11,071.44)
681.44
02/26/2024
Wells Fargo
FHLB
0.400%
0.587%
01/29/2021
01/29/2026
295,000.00
267,143.15
295,000.00
(27,856.85)
-
01/29/2024
Wells Fargo
FHLB
0.400%
0.525%
02/09/2021
02/09/2026
470,000.00
423,836.60
470,000.00
(46,163.40)
-
02/09/2024
Wells Fargo
FHLB
0.750%
1.432%
04/29/2021
04/29/2026
400,000.00
370,688.00
400,000.00
(29,312.00)
-
12/29/2023
Wells Fargo
FHLB
0.650%
1.069%
06/30/2021
06/30/2026
300,000.00
270,864.00
300,000.00
(29,136.00)
-
09/30/2023
Wells Fargo
FHLB
0.700%
1.281%
09/30/2021
09/30/2026
250,000.00
226,232.50
250,000.00
(23,767.50)
-
09/30/2023
Wells Fargo
CD's
2.550%
2.550%
06/17/2022
12/18/2023
245,000.00
242,520.60
245,000.00
(2,479.40)
-
N/A
Wells Fargo
CD's
0.300%
0.300%
01/08/2021
01/08/2024
245,000.00
239,774.15
245,000.00
(5,225.85)
-
N/A
Wells Fargo
CD's
0.450%
0.450%
04/14/2021
04/15/2024
245,000.00
236,623.45
245,000.00
(8,376.55)
-
02/14/2024
Wells Fargo
CD's
2.800%
2.800%
06/17/2022
06/17/2024
245,000.00
239,438.50
245,000.00
(5,561.50)
-
N/A
Wells Fargo
CD's
0.550%
0.550%
08/02/2021
08/05/2024
245,000.00
233,198.35
245,000.00
(11,801.65)
-
N/A
Wells Fargo
CD's
4.800%
4.800%
11/16/2022
11/15/2024
245,000.00
242,927.30
245,000.00
(2,072.70)
-
N/A
Wells Fargo
CD's
1.100%
1.100%
01/31/2022
01/31/2025
245,000.00
229,741.40
245,000.00
(15,258.60)
-
01/31/2024
Wells Fargo
CD's
1.600%
1.600%
02/23/2022
02/24/2025
245,000.00
231,037.45
245,000.00
(13,962.55)
-
N/A
Wells Fargo
CD's
4.650%
4.650%
04/12/2023
04/07/2025
245,000.00
241,920.35
245,000.00
(3,079.65)
-
N/A
Wells Fargo
CD's
4.650%
4.650%
40/14/2023
04/14/2025
245,000.00
241,893.40
245,000.00
(3,106.60)
-
N/A
Wells Fargo
CD's
3.100%
3.100%
06/15/2022
06/16/2025
245,000.00
234,972.15
245,000.00
(10,027.85)
-
N/A
Wells Fargo
CD's
3.100%
3.100%
06/15/2022
06/16/2025
245,000.00
234,972.15
245,000.00
(10,027.85)
-
N/A
Wells Fargo
CD's
3.300%
3.300%
08/26/2022
08/26/2025
245,000.00
235,082.40
245,000.00
(9,917.60)
-
N/A
Wells Fargo
CD's
1.000%
1.000%
05/19/2021
05/19/2026
245,000.00
217,978.95
245,000.00
(27,021.05)
-
N/A
Wells Fargo
CD's
1.000%
1.000%
07/28/2021
07/28/2026
245,000.00
215,984.65
245,000.00
(29,015.35)
-
N/A
Wells Fargo
CD's
1.050%
1.050%
08/08/2021
08/25/2026
238,000.00
210,092.12
238,000.00
(27,907.88)
-
N/A
Wells Fargo
CD's
1.000%
1.207%
07/31/2021
07/13/2028
245,000.00
203,332.85
245,000.00
(41,667.15)
12/13/2023
Broker Total
49.5%
9,453,000.00
9,107,380.47
9,453,681.44
(421,745.17)
681.44
Cetera Investment Services
Money Market
0.750%
0.750%
N/A
N/A
-
33,245.08
-
-
-
N/A
Cetera Investment Services
Municipal Bonds
2.500%
3.181%
12/20/2018
08/01/2023
35,000.00
35,000.00
34,320.05
679.95
(679.95)
N/A
Cetera Investment Services
Municipal Bonds
3.400%
3.148%
12/20/2018
11/01/2023
125,000.00
124,230.00
126,376.25
(2,146.25)
1,376.25
N/A
Cetera Investment Services
Municipal Bonds
3.400%
3.148%
12/20/2018
11/01/2023
65,000.00
64,599.60
65,715.65
(1,116.05)
715.65
N/A
Cetera Investment Services
Municipal Bonds
2.854%
3.173%
12/20/2018
02/01/2024
100,000.00
98,503.00
99,605.96
(1,102.96)
(394.04)
N/A
Cetera Investment Services
Municipal Bonds
2.977%
3.246%
12/20/2018
03/15/2024
250,000.00
245,937.50
248,743.99
(2,806.49)
(1,256.01)
N/A
Cetera Investment Services
Municipal Bonds
1.940%
1.821%
01/13/2020
05/01/2024
65,000.00
63,263.20
65,570.70
(2,307.50)
570.70
N/A
Cetera Investment Services
Municipal Bonds
5.742%
3.658%
04/11/2019
08/01/2024
190,000.00
190,298.30
208,924.00
(18,625.70)
18,924.00
N/A
Cetera Investment Services
Municipal Bonds
5.000%
4.253%
02/09/2023
08/15/2024
270,000.00
268,774.20
279,454.50
(10,680.30)
9,454.50
N/A
Cetera Investment Services
Municipal Bonds
2.400%
2.908%
08/05/2022
08/15/2024
50,000.00
48,380.00
50,070.17
(1,690.17)
70.17
N/A
Cetera Investment Services
Municipal Bonds
2.402%
2.926%
08/05/2022
10/01/2024
125,000.00
120,792.50
124,674.19
(3,881.69)
(325.81)
N/A
Cetera Investment Services
Municipal Bonds
2.033%
4.794%
06/05/2023
10/01/2024
85,000.00
81,634.00
82,332.21
(698.21)
(2,667.79)
Make -Whole Call
Cetera Investment Services
Municipal Bonds
5.200%
4.710%
02/21/2023
11/01/2024
30,000.00
29,874.30
30,711.27
(836.97)
711.27
N/A
Cetera Investment Services
Municipal Bonds
4.000%
4.689%
05/19/2023
12/01/2024
50,000.00
49,030.00
50,428.33
(1,398.33)
428.33
N/A
Cetera Investment Services
Municipal Bonds
2.528%
1.918%
01/13/2020
12/01/2024
100,000.00
96,088.00
102,999.53
(6,911.53)
2,999.53
N/A
Cetera Investment Services
Municipal Bonds
1.319%
4.407%
09/26/2022
12/01/2024
50,000.00
47,255.50
47,238.35
17.15
(2,761.65)
N/A
Cetera Investment Services
Municipal Bonds
3.922%
3.429%
12/20/2018
12/01/2024
204,000.00
198,926.52
208,181.10
(9,254.58)
4,181.10
N/A
Cetera Investment Services
Municipal Bonds
3.375%
4.693%
06/05/2023
03/01/2025
260,000.00
251,786.60
256,618.05
(4,831.45)
(3,381.95)
Make -Whole Call
Cetera Investment Services
Municipal Bonds
4.415%
4.516%
02/21/2023
05/01/2025
60,000.00
59,088.60
59,907.79
(819.19)
(92.21)
N/A
Cetera Investment Services
Municipal Bonds
4.400%
3.221%
04/11/2019
07/01/2025
500,000.00
486,740.00
539,101.11
(52,361.11)
39,101.11
07/01/2024
Cetera Investment Services
Municipal Bonds
0.824%
4.678%
01/09/2023
08/01/2025
100,000.00
91,708.00
91,160.64
547.36
(8,839.36)
N/A
Cetera Investment Services
Municipal Bonds
5.640%
3.007%
04/18/2019
08/15/2025
205,000.00
183,411.45
169,737.95
13,673.50
(35,262.05)
N/A
Cetera Investment Services
Municipal Bonds
3.743%
2.740%
04/18/2019
09/15/2025
215,000.00
208,704.80
228,334.53
(19,629.73)
13,334.53
N/A
Cetera Investment Services
Municipal Bonds
3.379%
1.934%
08/19/2019
10/01/2025
310,000.00
295,488.90
339,739.18
(44,250.28)
29,739.18
N/A
Cetera Investment Services
Municipal Bonds
2.727%
2.271%
03/03/2022
12/01/2025
335,000.00
310,290.40
342,781.72
(32,491.32)
7,781.72
N/A
Cetera Investment Services
Municipal Bonds
5.600%
1.186%
07/28/2020
12/01/2025
45,000.00
45,424.35
55,250.55
(9,826.20)
10,250.55
N/A
Cetera Investment Services
Municipal Bonds
4.250%
3.258%
04/11/2019
01/01/2026
500,000.00
485,275.00
529,769.03
(44,494.03)
29,769.03
N/A
Cetera Investment Services
Municipal Bonds
2.420%
1.175%
10/06/2020
03/01/2026
100,000.00
92,491.00
106,734.28
(14,243.28)
6,734.28
N/A
Cetera Investment Services
Municipal Bonds
1.609%
1.124%
09/24/2020
04/01/2026
285,000.00
259,894.35
292,370.10
(32,475.75)
7,370.10
N/A
Cetera Investment Services
Municipal Bonds
6.690%
3.356%
04/18/2019
04/15/2026
60,000.00
51,341.40
47,545.20
3,796.20
(12,454.80)
N/A
Cetera Investment Services
Municipal Bonds
5.900%
1.451%
07/28/2020
06/15/2026
75,000.00
76,567.50
93,741.75
(17,174.25)
18,741.75
N/A
Cetera Investment Services
Municipal Bonds
0.000%
1.415%
08/13/2020
07/01/2026
100,000.00
84,765.00
92,037.00
(7,272.00)
(7,963.00)
N/A
Cetera Investment Services
Municipal Bonds
3.250%
2.903%
04/18/2019
08/01/2026
500,000.00
472,180.00
514,790.69
(42,610.69)
14,790.69
N/A
Cetera Investment Services
Municipal Bonds
2.116%
3.307%
06/07/2022
08/01/2026
75,000.00
68,458.50
71,565.00
(3,106.50)
(3,435.00)
N/A
Cetera Investment Services
Municipal Bonds
2.150%
2.203%
07/01/2019
12/01/2026
40,000.00
36,880.80
40,150.64
(3,269.84)
150.64
N/A
Cetera Investment Services
Municipal Bonds
1.664%
1.150%
08/27/2020
09/01/2026
225,000.00
201,622.50
231,696.00
(30,073.50)
6,696.00
N/A
Interest
Current
Date of
Date of
Par
Current
Purchase
Unrealized
Premium
Next
Institution
Description
Rate
YTM
Purchase
Maturity
Value
Value
Amount
Gain/(Loss)
(Discount)
Call Date
Cetera
Investment Services
Municipal Bonds
2.375%
1.816%
09/04/2019
12/01/2026
90,000.00
82,633.50
93,395.70
(10,762.20)
3,395.70
N/A
Cetera
Investment Services
Municipal Bonds
2.350%
2.191%
07/01/2019
12/01/2026
500,000.00
460,860.00
505,385.00
(44,525.00)
5,385.00
N/A
Cetera
Investment Services
Municipal Bonds
3.000%
1.991 %
OS/19/2019
OZ01/2027
50,000.00
46,998.50
53,551.00
(6,552.50)
3,551.00
N/A
Cetera
Investment Services
Municipal Bonds
3.150%
2.034%
08/19/2019
03/15/2027
100,000.00
94,812.00
109,138.50
(14,326.50)
9,138.50
N/A
Cetera
Investment Services
Municipal Bonds
3.332%
3.120%
04/1 8/201 9
04/15/2027
500,000.00
476,260.00
507,783.94
(31,523.94)
7,783.94
N/A
Cetera
Investment Services
Municipal Bonds
3.865%
2.470%
08/1 9/201 9
05/01/2027
55,000.00
53,787.80
60,986.48
(7,198.68)
5,986.48
05/01/2025
Cetera
Investment Services
Municipal Bonds
3.553%
2.289%
08/1 9/201 9
05/01/2027
55:000.00
51:892.50
60:468.04
(8,575.54)
5:468.04
05/01/2026
Cetera
Investment Services
Municipal Bonds
3.230%
1.828%
08/1 9/201 9
05/15/2027
145,000.00
136,955.40
160,827.31
(23,871.91)
15,827.31
N/A
Cetera
Investment Services
Municipal Bonds
1.925%
1.719%
11/23/2021
06/01/2027
310,000.00
274,709.60
313,447.46
(38,737.86)
3,447.46
Make -Whole Call
Cetera
Investment Services
Municipal Bonds
1.861%
1.254%
06/07/2021
07/01/2027
410,000.00
366:248.90
412:336.71
(46,087.81)
2:336.71
N/A
Cetera
Investment Services
Municipal Bonds
3.000%
3.101%
05/18/2020
09/01/2027
65,000.00
63,869.65
69,180.58
(5,310.93)
4,180.58
09/01/2025
Cetera
Investment Services
Municipal Bonds
2.817%
2.817%
09/25/2019
10/01/2027
35,000.00
28,429.80
27,969.55
460.25
(7,030.45)
05/01/2025
Cetera
Investment Services
Municipal Bonds
1.415%
1.793%
11/23/2021
03/01/2028
100,000.00
86,893.00
98,088.31
(11,195.31)
(1,911.69)
N/A
Cetera
Investment Services
Municipal Bonds
3.270%
2.141%
08/19/2019
03/15/2028
155:000.00
144:842.85
170,805.09
(25,962.24)
15,805.09
09/15/2027
Cetera
Investment Services
Municipal Bonds
2.974%
2.574%
11/07/2019
04/01/2028
75,000.00
69,104.25
77,253.00
(8,148.75)
2,253.00
N/A
Cetera
Investment Services
Municipal Bonds
2.125%
1.904%
11/23/2021
06/01/2028
110,000.00
95,845.20
111,525.06
(15,679.86)
1,525.06
N/A
Cetera
Investment Services
Municipal Bonds
2.547%
1.240%
08/10/2021
07/01/2028
125:000.00
113,8%00
136,101.16
(22,296.16)
11,101.16
N/A
Cetera
Investment Services
Municipal Bonds
3.140%
2.004%
08/19/2019
08/01/2028
500,000.00
463,310.00
547,105.00
(83,795.00)
47,105.00
OS/01/2027
Cetera
Investment Services
Municipal Bonds
3.000%
2.199%
05/19/2020
08/15/2028
90,000.00
89,011.80
95,401.80
(6,390.00)
5,401.80
08/15/2025
Cetera
Investment Services
Municipal Bonds
1.692%
1.813%
11/24/2021
10/01/2028
180,000.00
152,924.40
179,188.74
(26,264.34)
(811.26)
N/A
Cetera
Investment Services
Municipal Bonds
3.000%
1.942%
08/19/2019
06/01/2029
115,000.00
105,395.20
125,961.80
(20,566.60)
10,961.80
N/A
Cetera
Investment Services
Municipal Bonds
4.000%
3.214%
03/22/2021
09/01/2031
60,000.00
60,054.00
64,292.00
(4,238.00)
4,292.00
09/01/2024
Cetera
Investment Services
Municipal Bonds
3.500%
2.699%
11/23/2021
02/01/2033
50:000.00
50:024.50
54:390.44
(4,365.94)
4:390.44
02/01/2025
Cetera
Investment Services
Municipal Bonds
3.250%
2.655%
08/1 9/201 9
06/01/2029
75,000.00
75, 173.25
79,860.31
(4,687.06)
4,860.31
02/01/2025
Cetera
Investment Services
Municipal Bonds
3.125%
2.303%
11/23/2021
10/01/2034
50,000.00
48,723.50
54,773.69
(6,050.19)
4:773.69
04/01/2027
Cetera
Investment Services
Municipal Bonds
3.125%
2.456%
11/23/2021
OZ01/2035
50,000.00
4$662.50
54,236.11
(5,573.61)
4,236.11
OZ01/2026
Broker Total
50.5%
9,834,000.00
9,299,177.95
10,151,830.24
(885,897.37)
317,830.24
TOTAL INVESTMENTS 100.0%
7/31/2023
% of
6/30/2023
% of
Monthly
Maturity
Current Value
Product Type
Total Value
Total
Total Value
Total
Change
Lessthan 1year
$2,695,149.28
14.6%
MH Money Market
$108,689.28
0.6%
$76,379.86
0.4%
$32,309.42
1 - 2 years
5,374,832.87
29.2%
CD's
3,931,490.22
21.4 %
3,917,842.04
21.4 %
13,648.18
2 - 3 years
5,176,549.90
28.1 %
Government Bonds
5,100,446.05
27.7%
5,088,878.95
27.8%
11,567.10
3-4years
3,260,624.62
17.7%
Municipal Bonds
9,265,932.87
50.3%
9,251,491.84
50.5%
14,441.03
4-5years
806,122.60
4.4%
TOTAL
$18 406 558.42
100.0% $18 334 592.69
100.0%
$71 965.73
5+ years
1,093,279.15
5.9 %
TOTAL
$18,406,558.42
100.0%
Money Market
Municipal Bonds
0.6%
$6,000,000.00 •.,,
50.3%
I
CD's
�21.4%
$5,374,833
$5, 176,550
..$4,$5,000,000.00
000,000.00,.
,,,,,,,,, ......... ..............$3,260,625
$3,000,000.00
L__$2
.......
.......
........................................................
$2,000,000.00
_
_____
_____
____ _______.
__$806,123
$1,093,279
$1,000,000.00.
....
...
... .....
..
.......
........
....
Less than 1-2years
2-3years 3-4years 4-5years 5+years
year
Government Bonds
27.7%
ELECTRIC DIVISION
Operating Revenue
July 2023
CLASS
AMOUNT
KWH
/KWH
Street Lights
$20.44
375
$0.05451
Electric Residential Service
$555,968.13
5,703,847
$0.09747
All Electric Residential Service
$16,555.19
155,525
$0.10645
Electric Small General Service
$170,630.30
1,780,259
$0.09585
Electric Large General Service
$655,620.02
7,539,100
$0.08696
Electric Large Industrial Service
$752,129.80
10,010,000
$0.07514
Total
$2,150,923.88
25,189,106
$0.08539
Power Adjustment
$0.00000
Rate Without Power Adjustment
$0.08539
Electric Division Year -to -Date
M2023 $A--t 02022 $A--t ■2023 KWH110 02022 KWH110
20,000,000
18,000,000
16,000,000
14,000,000
12,000,000
10,000,000
8,000,000
6,000,000
4,000,000
2,000,000
0 ,I IIWIIWIIu i IIWIIWIIII I IIWIIWIIII I i IIWIIWIIu I i IIWIIWIIII
Street Lights Residential All Elec. Small Gen. Large Gen. Large For Resale
Resid. Srv. Srv. Industrial
NOTE: Sales for resale includes capacity sales and energy for resale
Total
NATURAL GAS DIVISION
Operating Revenue
JULY 2023
CLASS
AMOUNT
MCF
/$ MCF
Residential
$133,439.76
6,224
$21.43955
Commercial
$103,851.71
8,291
$12.52584
Large Industrial
$33,703.90
4,042
$8.33842
Large Industrial Contracts
$238,289.33
40,006
$5.95634
Total
$509,284.70
58,563
$8.69636
Fuel Adjustment $0.00000
Rate Without Fuel Adjustment $8.69636
Natural Gas Division Year -to -Date
® 2023 $ Amount 0 2022 $ Amount ■ 2023 MCF 13 2022 MCF
9,000,000
8,000,000
7,000,000
6,000,000
5,000,000
4,000,000
3,000,000
2,000,000
1,000,000
0
Gas Residential Gas Commercial Large Industrial Large Industrial Total
Contracts
Electric Production
Work
Total
Total
Order Description
Materials Labor
Budgeted
Actual
Difference
12203 Plant 2 Air Dryer
-
$ -
29,705.92
$
29,705.92
12204 Cooling Tower Repairs
$ -
239,115.47
$
239,115.47
12206 Plant 2 Unilux Boiler
$ -
146,102.00
$
146,102.00
12301 Plant 2 Ladder Access
225,000.00
168,644.98
$
168,644.98
12302 Plant 2 Power Gates
60,000.00
$
-
12303 Plant 1 Tuck Pointing
140,000.00
$
12304 SWOIS Computer Upgrade U5
400,000.00
$
12305 Plant 1 Side Stream Filter
30,000.00
$
12306 Cooling Tower Drain Valves Plant 1
80,000.00
$
12307 Cooling Tower Recirculation
120,000.00
$
12308 Unit 1 Repairs
_ - -
$ -
$ -
$
-
$ 1,055,000.00 $ -
$$ -
$ 583,568.37
$
583,568.37
Electric Distribution
Work
Total
Total
Order
Descri ta�ion
Materials
Labor
Budgeted
Actual
Difference,
22203
Plant 1 Sub SCADA Relays
-
-
-
216,574.12
$
216,574.12
22204
3M Sub SCADA
-
-
-
94,305.54
$
94,305.54
22213
EV Charging Station Transformer
-
-
1,363.77
$
1,363.77
22301
Hutch Sub Transformer Upgrade Engineering
200,000.00
200,000.00
29,477.00
$
(170,523.00)
22302
Pole Repair and Replacement
15,000.00
15,000.00
$
(15,000.00)
22303
Station Equipment
10,000.00
10,000.00
$
(10,000.00)
22304
HTI Sub SCADA
125,000.00
125,000.00
$
(125,000.00)
22305
Right of Way Clearing
15,000.00
15,000.00
$
(15,000.00)
22306
Install Duct
18,000.00
65,000.00
83,000.00
17,943.78
$
(65,056.22)
22307
Feeder 16 Reconductor
42,000.00
75,000.00
117,000.00
79,098.67
$
(37,901.33)
22308
APR Development (North of 202nd Circle NW)
15,000.00
7,000.00
22,000.00
380.96
$
(21,619.04)
22309
New Developments
60,000.00
60,000.00
53,430.86
$
(6,569.14)
22310
APR Development (North of 202nd Circle NW)
8,000.00
2,000.00
10,000.00
$
(10,000.00)
22311
Transformer Replacements
48,000.00
14,000.00
62,000.00
$
(62,000.00)
22312
Transformer New Development
60,000.00
60,000.00
738.85
$
(59,261.15)
22313
Meters
36,000.00
36,000.00
29,400.74
$
(6,599.26)
22314
Roberts Road Lights
15,000.00
15,000.00
4,146.84
$
(10,853.16)
22315
LED Conversion
175,000.00
35,000.00
210,000.00
5,071.53
204,928.47
$ 842,000.00 $ 198,000.00 $ 1,040,000.00 $ 531,932.66 $ (508,067.34)
Administrative
Total
Total
Work Order
Descri tion
_.... _�p
Bud ete _
Actual
Di
w_....... Difference
52103
Natural Gas Service Truck
$ -
$ 71,781.58
$ (71,781.58)
52201
EV Fast Charger
-
51,019.00
(51,019.00)
52203
Replace 037 Dump Truck
74,000.00
74,000.00
52204
Replace 130
56,475.48
(56,475.48)
52205
Replace 948
84,000.00
84,000.00
52206
Paint Booth
28,717.81
(28,717.81)
52301
International 4900 w/Altec
310,000.00
310,000.00
52302
Replace 995 2010 Dodge Dakota
35,000.00
-
35,000.00
52303
Replace 226 2012 Dodge RAM 1500
55,000.00
-
55,000.00
52304
Single Reel Trailer
20,000.00
21,220.99
(1,220.99)
52305
Underground Locator
7,500.00
-
7,500.00
52306
2023 Chevy Silverado 1500
-
45,803.40
-
$ 585,500.00
$ 275,018.26
$ (310,481.74)
Work
Order Description
62201 2 12" Valves, Vacuum Purging, Pigging Lat Lin(
62301 HCP Interconnect
62302 RNG Interconnect
62303 Fairfax Interconnect Downsize
62304 SCADA for HCP Interconnect
62305 SCADA for RNG Interconnect
62306 Misc Developments & System Improvements
62307 City Projects
62308 50 psig Imp Project- Distribution Main
62309 Isolated Main Replacement
62310 Improvements to Regulator Stations
62311 50 psig Improvement Project- DRS
62312 Service Lines
62313 Meters, AMI, and All Fittings
62314 Residential Regulators
62315 Industrial Metering and Regulation
62316 CP AMI Monitors, AMI Pressure Monitors
Natural Gas
Total
Total
Materials
Labor
Budgeted,
Actual
Difference
-
-
-
258,612.93
258,612.93
875,000.00
3,000.00
878,000.00
192.32
(877,807.68)
950,000.00
4,000.00
954,000.00
-
(954,000.00)
65,000.00
1,000.00
66,000.00
-
(66,000.00)
27,500.00
3,000.00
30,500.00
3,350.31
(27,149.69)
27,500.00
3,000.00
30,500.00
-
(30,500.00)
50,000.00
10,000.00
60,000.00
1,564.93
(58,435.07)
15,000.00
3,000.00
18,000.00
5,665.99
(12,334.01)
700,000.00
3,000.00
703,000.00
-
(703,000.00)
27,500.00
5,000.00
32,500.00
-
(32,500.00)
20,000.00
5,000.00
25,000.00
-
(25,000.00)
275,000.00
1,000.00
276,000.00
-
(276,000.00)
57,000.00
15,000.00
72,000.00
21,457.31
(50,542.69)
165,000.00
4,000.00
169,000.00
13,692.35
(155,307.65)
9,000.00
-
9,000.00
4,546.30
(4,453.70)
25,000.00
3,500.00
28,500.00
24,525.65
(3,974.35)
50,000.00
3,000.00
53,000.00
-
(53,000.00)
$ 3,338,500.00
$ 66,500.00
$ 3,405,000.00
$ 333,608.09
$ (3,071,391.91)
,c,«
HUTCHINSON UTILITIES COMMISSION
Board Action Form
f tit
W
Agenda Item: Review Policies
Presenter: Angie Radke
Agenda Item Type:
Time Requested (Minutes): 5
Review Policies
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
As part of HUC's standard operating procedures, a continual policy review is practiced.
This month, the following policies were reviewed and no changes are recommended on
these policies at this time:
i. Hutchinson Utilities Commission
ii. Establishing a New Electric/Natural Gas Account
iii. Deposit Requirement — Residential
iv. Deposit Requirement — Commercial/Industrial
V. Terminating Electric/Natural Gas Service by Customer
vi. Definition of Your Bill
vii. Payment of Your Bill
viii. Automatic Bill Payment Plan
ix. Budget Payment Plan
X. Explanation of Billing Procedure
xi. Disconnection of Residential Services by HUC
xii. Disconnection of Commercial Services by HUC
xiii. Landlord Acknowledgment
xiv. Inserts with Utility Bills
xv. Identity Theft — "Red Flag Program"
xvi. Minnesota Cold Weather Rule
xvii. Minnesota Government Data Practices Act and Public Records Request
BOARD ACTION REQUESTED:
None
Fiscal Impact
Included in current budget: Budget Change:
PROJECTSECTION:
Total Project Cost: Remaining Cost:
HUTCHINSON UTILITIES COMMISSION
(Hereafter referred to as HUC)
A five -member Commission governs HUC. The Commission members are appointed by
the Mayor and the City Council to each serve a five-year term. The Commission meets at
3.00 p.m. the last Wednesday of each month. The following policies are reviewed and
approved by the Commission and it reserves the right to make changes, and/or to adopt
new and amended policies, as it deems necessary from time to time. The Commission
also reserves the right to vary from its policies in special circumstances.
HUC is a municipal utility that is owned by its citizens, through the City Council and its
political subdivision, the Hutchinson Utilities Commission.
Public/Customer Hours
Monday through Friday
7.30 a.m. to 4.00 p.m.
Address & Phone
225 Michigan Street SE
Hutchinson, MN 55350-1905
(320) 587-4746
Emergency Service
Electric Outage (320) 234-0544
Gas Emergency 1-877-593-3973
(320) 587-4745
Customer Service (320) 234-0502
Web Address
www.hutchinsonutilities.com
Facebook
@hutchinsonutilitiescommission
Establishing a New Electric/Natural Gas Account
New services and meters are read or installed only during normal business hours. A new
service installation requires a 24-hour notice.
Deposit Requirement — Residential
New Residential Customers:
Application for Service
An application for service is required to be completed and submitted prior to receiving
service. The application shall be accompanied by proof of customer identification,
preferably photo identification.
Deposit
A deposit is required for all new residential customers, prior to the utility account being
established in the customer's name.
HUC will conduct an internal account review for all new customer applications. If the
results of the review indicate the customer has an outstanding balance with HUC for
previously provided services, the outstanding balance shall be paid, in addition to the
required deposit, prior to the customer receiving service.
The amount of the deposit is equal to two times the average monthly bill for the
property/address as determined by HUC. For new residential construction with no billing
history, HUC will determine the rates based on similar construction.
A deposit may only be waived if the customer provides verification of a satisfactory
payment history for the previous 12-month period from their current or previous utility
provider indicating, the customer paid all of their bills on time with no late payment fees
attached, issued a disconnect notice and no delinquent or dishonored payments.
Existing Residential Customers Moving Within Service Territory:
A deposit is not required if the customer has a satisfactory payment history for the
previous 12-month period, as defined previously.
A deposit for existing residential customers moving within HUC service territory will be
required prior to the utilities establishing the new account for any of the following reasons-
1. The customer has been disconnected, issued a disconnect notice or had a
delinquent or dishonored payment in the previous 12 months.
2. Subsequent credit information indicates the initial application for service
was falsified.
3. The customer has the ability to pay for the utility service, but during the cold
weather rule months, had an arrears amount incurred during that period that
was 60 days or more past due.
If a deposit is required of a customer, the following will also apply:
1. If customer has no deposit with HUC, the customer will pay the deposit
amount for the customer's new address.
2. If customer already has a deposit with HUC and this deposit amount is
greater than the new deposit required for the new address, HUC will transfer
the deposit from the customer's previous address to the new address. The
balance of the deposit from the previous address will be applied to the
customer's final bill for the previous address. If there is a remaining credit
balance after paying the final bill, this will be applied to the new address
account.
3. If the customer already has a deposit with HUC and this deposit amount is
less than the new deposit required for customer's new address, HUC will
transfer the deposit from the customer's previous address to the customer's
new address. The customer will pay the balance of the deposit amount for
the customer's new address, prior to the utilities being placed in their name.
If a deposit is required the customer may request a written explanation for the
requirement.
Amount of Deposit: The amount of the deposit is equal to two times the average monthly
bill for the property/address as determined by HUC.
For new residential construction with no billing history, HUC will determine the rates
based on similar construction.
Refusal or Disconnection of Service: HUC may refuse or disconnect residential service
for failure to pay a required deposit.
Interest: Interest earned on a deposit is applied to the account as a credit on a calendar
year basis. The rate of interest is determined by the Minnesota Department of Commerce
and updated annually.
When the customer moves out of the HUC service area, the account is finalized. Any
deposit interest is applied to the account as a credit, and the deposit amount is applied to
the final bill. If this results in a credit balance, a check is issued to the customer for the
credit amount.
Refund: The utility shall refund the deposit of a residential customer after 12 consecutive
months of on -time payments (no late payment fees).
If a customer makes a late payment in the initial 12 months of service, the deposit will be
retained, until such time as the customer makes 12 consecutive monthly on -time
payments and incurs no late payment fees.
If the customer provides a payment history from their previous provider, and the payment
history indicates no late payment fees and no dishonored checks, then HUC will refund
the deposit. HUC must receive this information from the customer within 30 days of
customer moving into our services.
Refund at Termination of Service: On termination of residential service, and if the
customer has a deposit with HUC, HUC shall credit the deposit, with accrued interest, to
the customer's final bill and return any remaining balance within 30 days of issuing the
final bill.
Method of Refund: Any deposit or portion thereof refunded to a residential customer shall
be refunded by check. Any interest earned will be applied to customer's account as a
credit.
Deposit Requirement — Commercial/Industrial
Application for Service
An application for service is required to be completed and submitted prior to receiving
service. The application shall be accompanied by proof of customer identification,
preferably photo identification, and their Federal Tax ID number.
Deposit
A deposit is required for all Commercial/Industrial customers, prior to the utility account
being established in the customer's name.
HUC will conduct an internal account review for all new customer applications. If the
results of the review indicate the customer has an outstanding balance with HUC for
previously provided services, the outstanding balance shall be paid, in addition to the
required deposit, prior to the customer receiving service.
Existing Commercial/Industrial Customers Moving Within Service Territory: A deposit will
be waived if the Commercial/Industrial customer has a 24-month payment history with
HUC indicating the Commercial/Industrial customer has not been disconnected, issued a
disconnect notice or issued any dishonored checks.
A deposit for existing Commercial/Industrial customers moving within HUC service
territory will be required prior, to customer having utilities placed in their name, for the
following reasons-
1. If the customer has been disconnected, issued a disconnect notice or any
dishonored payment in the previous 24 months.
2. Subsequent credit information indicates the initial application for service
was falsified.
If a deposit is required of a customer, and;
1. If a customer has no deposit with HUC, the customer will pay the deposit
amount for the customer's new address.
2. If a customer has a deposit with HUC and this deposit amount is greater
than the new deposit required for customer's new address, HUC will transfer
the deposit from the customer's previous address to the customer's new
address. The balance of the deposit at the customer's previous address will
be applied to the customer's final bill for the previous address. If there is a
remaining credit balance after paying the final bill, this will be applied to the
new address account.
3. If a customer has a deposit with HUC and this deposit amount is less than
the new deposit required for customer's new address, HUC will transfer the
deposit from the customer's previous address to the customer's new
address. The customer will pay the balance of the deposit amount for the
customer's new address, prior to the utilities being placed in their name.
If a deposit is required, the customer may request a written explanation for the
requirement.
Amount of Deposit: The deposit shall be equal to the two highest bills for the past 12
months rounded to the nearest dollar. In the event that the building will be used for a
different purpose than that of the previous tenant/owner, then similar use will be taken
into consideration to determine the amount of deposit.
The deposit may also be made by posting a performance bond or an Irrevocable Letter
of Credit from an FDIC insured financial institution. These options will not earn any interest
and will be terminated after 24 consecutive months of timely payments.
In the event of a new building with no billing history, then similar construction will be used
to establish the average monthly usage.
Refusal or Disconnection of Service: Commercial/Industrial service may be refused or
disconnected for failure to pay a required deposit.
Interest: Interest earned on deposits is applied to the account as a credit on a calendar
year basis. The rate of interest is determined by the Minnesota Department of Commerce
and HUC obtains that information annually.
When the Commercial/Industrial customer moves out of the HUC service area, the
account is finalized. Any deposit with interest is applied to the account as credit, and the
deposit amount is applied to the final bill. If this results in a credit balance, a check is
issued to the customer for that credit amount.
Refund: HUC shall refund the deposit of a Commercial/Industrial customer after 24
consecutive months of on -time payments (no late payment fees).
If a customer is late in making payment, then the deposit will be retained, until such time
as the customer makes 24 consecutive monthly on -time payments (no late payment fees).
Refund at Termination of Service: On termination of Commercial/Industrial service, and if
the customer has a deposit with HUC, HUC shall credit the deposit, with accrued interest,
to the customer's final bill and return any remaining balance within 30 days of issuing the
final bill.
Method of Refund: Any deposit or portion thereof refunded to a Commercial/Industrial
customer shall be refunded by check.
Terminating Electric/Natural Gas Service by Customer
When the utility service is shut off due to a customer's request, the electric meter will be
removed and the gas meter will be turned off and locked. The electric meter socket and
gas meter valve will have a blue seal placed on them.
At the time a customer requests the service be turned on, HUC personnel will install the
electric meter and unlock the natural gas meter valve.
It is the customer's responsibility to turn on the natural gas meter valve and to light the
pilot lights on all natural gas appliances, where appropriate. In the event the customer is
unable to perform these tasks, it is the customer's responsibility to contact a plumbing or
heating contractor to complete this work.
Upon the request of a customer, utility services may be temporarily terminated and billing
suspended for a specified period of time due to illness, vacation, and/or seasonal use.
Temporary terminations are charged to the customer at the rate of $40 to disconnect and
$40 to reconnect.
A. Termination for Renters
Electric and natural gas meters will be read and the final bill calculated when a
renter informs HUC they no longer wish to retain HUC services.
B. Termination for Residential/Commercial Owners
Electric and natural gas will be shut off when the property owner requests HUC to
disconnect services. For continuous service, the new owner must call HUC at a
minimum of 24 hours in advance of the requested disconnect date, and make the
necessary arrangements to have the electric/natural gas services transferred into
their name. This eliminates terminating services at that address.
C. Termination for Electrical Work
If a homeowner needs an electric meter disconnected to do any electrical work, HUC will
disconnect/reconnect the meter at no charge to the customer. Once the work is
completed, HUC will need a copy of the State Board of Electricity Certificate of Inspection,
before HUC will reconnect the electric meter.
Definition of Your Bill
Your bill provides:
• Account number
• Due date
• Payment due
• Pre -authorized payment to be drawn from your bank on due date (from
checking/saving account)
• Budget amount due if on the budget plan
• Name/mailing address
• Service address
• Electric and fuel cost adjustments, if any
• PIN #
• Reading dates
• Days used
• Previous and current readings
• Usage
• Previous balance
• Payments made and date paid
• Electric and/or gas meter charges
• Amount charged to each meter
• Sales tax/Local tax/County tax
• Any miscellaneous/trip charges
• Account balance
• Perforated top stub to remit with payment for timely and proper posting
• If applicable, a message on the bottom of the statement indicating past due amount
Meters are read approximately every 30 days. Estimated readings may also be taken if
access to the meter is not possible or the meter has stopped working.
Payment of Your Bill
Payments are due by the date indicated on the statement.
Payment Locations
• HUC business office at 225 Michigan Street Southeast
• Drop box at either the HUC business office or Hutchinson City Center
Payment Methods
• Cash, check or money order
• automated phone system at (320)587-4746, Option #3 with VISA/MasterCard/
Discover/E-check
• automatic bank payment plan(Savings/Checking Account)
• online at www.hutchinsonutilities.com
• online reoccurring credit card payment
• text using Invoice Cloud
When paying in any manner other than cash, no change will be given. No second party
or post-dated checks will be accepted and checks will not be held.
An invalid payment due to nonsufficient funds or other circumstances is treated as a non-
payment. If notification of the invalid payment is received by HUC, the customer will be
charged a $30 processing fee.
If paying by reoccurring credit/debit card, the customer needs to cancel their credit/debit
card immediately if there has been an address change.
When there is a change in the credit/debit card information that is used for reoccurring
payments, the customer will be required to update the system with the new credit/debit
card information.
For billing questions, contact HUC customer service via e-mail at
HUCbilling@hutchinsommn.gov
Automatic Bill Payment Plan
Customers may authorize automatic bill payment through ACH withdrawals from a
checking/savings account, or with the use of a credit/debit card. These payments are
withdrawn on the date the bill is due.
To authorize the withdrawals or automatic payment from a checking/savings account, the
customer must complete an Authorization form, which is available at the HUC business
office or on the HUC website.
To authorize automatic payment with a reoccurring credit/debit card, visit the HUC
website under `Pay Your Bill'.
If paying by reoccurring credit/debit card, the customer needs to cancel their credit/debit
card immediately if there has been an address change.
When there is a change in the credit/debit card information that is used for reoccurring
payments, the customer will be required to update the system with the new credit/debit
card information.
Setting up, changing and cancelling reoccurring credit/debit card information can only be
completed by the customer.
The customer will receive their monthly utility billing statement showing the payment
amount to be withdrawn. The customer may contact the HUC Customer Service
Department before the amount is withdrawn to dispute the billing or with any questions.
The customer will have approximately 10 days to review their bill before the money is
withdrawn.
If a customer's payment is dishonored for two consecutive months, the customer will be
removed from the automatic payment plan and so notified. A service charge of $30 will
be assessed to the customer's account for each dishonored payment occurrence.
Budget Payment Plan
A budget payment plan is available to residential customers who have been at their
present location for a minimum of 12 continuous months. Procedures are in place for
setting up and reviewing the budget payment plan calculation. Changes to the budget
payment amount are made at the discretion of the Customer Service Department based
on the customer's average bill from the previous 12 months. Customers will be notified,
in writing, of any changes. A customer may concurrently participate in the budget payment
plan by automatic bank payment plan or recurring credit cards.
Explanation of Billing Procedure
A bill for services is sent to the address provided by the customer approximately 3 to 5
days after the meters have been read. The customer has approximately 10 days to pay
the bill in full by the stated due date. In accordance with state law, the City of Hutchinson
and its related entities shall have 35 days to pay bills in full.
Bills paid after the due date will incur the following charges:
• A 1 % per month late payment charge on any unpaid balance.
• A $15 processing fee.
A late notice warning of pending disconnection is mailed to the customer and provides
the customer with at least 30 days after the notice has been mailed to pay the bill or
contact the Customer Service Department to make other arrangements. Examples of
other arrangements may include establishing a budget payment plan or payments by
other agencies on the customer's behalf. Failure to make payment by the stated due date
and time will be considered a violation of the notice of pending disconnection. If full
payment or other arrangements have not been made by the deadline, HUC personnel are
sent to the meter location to disconnect utility services (see disconnection of services
section).
IT IS THE CUSTOMER'S RESPONSIBILITY TO PAY BILLS ON TIME AND IN FULL.
A dishonored payment will be assessed a $30 processing fee.
A dishonored payment made to avoid disconnection, to get reconnected, or for a deposit
for service will be assessed a $30 processing fee; plus:
a. A $40 trip charge to deliver a door hanger, a notice advising the customer
they have 24 hours to make the full notice payment. Acceptable forms of
payment include cash, money order or credit card.
b. A $40 trip charge to disconnect service if payment is not received in the
form of cash, money order or credit card.
C. A $40 trip charge to reconnect service with payment made in the form of
cash, money order or credit card.
IT IS THE CUSTOMER'S RESPONSIBILITY TO KEEP HUC FULLY ADVISED OF
ANY CHANGE OF ADDRESS.
Disconnection of Residential Services by HUC
1. Residential utility service may be disconnected for any of the following reasons:
• Failure to pay by the deadline on a delinquent account or failure to comply with the
terms of the budget payment plan.
• Failure to contact HUC to gain protection from disconnection under the Cold
Weather Rule.
• Failure to maintain the payment agreement established under the Cold Weather
Rule.
• Failure to comply with deposit requirement.
• Failure to pay for merchandise or charges for non -utility service billed by HUC.
• Payment of bill with a dishonored check.
• Failure to provide authorized utility personnel access to utility equipment.
• HUC shall disconnect residential utility service, without notice, where service has
been reconnected without HUC's authorization.
• HUC shall disconnect residential utility service, without notice, where it has
reasonable evidence that utility service is being obtained by potentially unsafe
devices or potentially unsafe methods that stop or interfere with the proper
metering of the utility service.
• HUC may disconnect residential utility service, without notice, where a dangerous
condition exists for as long as the condition exists.
• At the request of the property owner, as long as it's currently in owner's name and
no tenant occupies property.
• At the request of the realtor/bank, as long as it's currently in their name.
• If an account owner or property owner does not notify us, within three (3) business
days following disconnection of service for non-payment, a final bill will be
processed and the account will be closed.
2. HUC must have a Landlord Agreement on file acknowledging that landlord/owner will
be responsible for all utility charges after the read-out date requested by a tenant.
Failure of the landlord/owner to execute this form will lead to a shut off of services on
the read-out date requested from tenant.
3. For all items mentioned in number 1 and 2 above, a disconnect/reconnect fee shall be
applied. The disconnect/reconnect fee is as follows:
• A $40 trip charge to disconnect.
• A $40 trip charge to reconnect, payment shall be made with cash, money order or
credit card during regular business hours.
• After hours reconnection will follow the After Hours Reconnection Policy.
4. In the event that the customer pays after the deadline given on the disconnect letter,
and the payment is processed before physical disconnection, a $40 Removal from
Disconnect List Fee will be applied to their account.
5. If a realtor/bank requests to have service reconnected for one day in order to perform
an inspection, a $40 trip charge to reconnect and a $40 disconnect charge will be
applied.
6. In the event of unauthorized use of, or tampering with the equipment of HUC, a
tampering charge of $100 will be assessed to the customer's account. The appropriate
law enforcement agency will be notified. HUC reserves the right to charge the
customer for the cost of repairs to the equipment of HUC.
7. A dishonored payment will be assessed a $30 processing fee.
8. A dishonored payment to avoid disconnection, or to get reconnected, will be assessed
a $30 processing fee; plus:
• A $40 trip charge to deliver a door hanger, giving customer 24 hours to make
payment good with cash, money order or credit card.
9. HUC is not required to furnish residential service under conditions requiring operation
in parallel with Backup generating equipment connected to the customer's system if
such operation is hazardous or may interfere with its own operations or service to
other customers or operation as a condition or rendering service under such
circumstances.
FAILURE TO RESPOND TO THE DISCONNECT NOTICE SET FORTH ON THE BILL
OR FAILURE TO PAY FOR SERVICES RENDERED BY HUC MAY RESULT IN THE
DISCONNECTION OF SERVICES TO THE PROPERTY WITHOUT ANY ADDITIONAL
NOTICE TO THE CUSTOMER. IT IS THE CUSTOMER'S RESPONSIBILITY TO PAY
FOR SERVICES RENDERED AND TO ADVISE HUC OF ANY CHANGE IN ADDRESS.
NEITHER HUC NOR THE CITY OF HUTCHINSON, NOR ANY OF THE AGENTS,
EMPLOYEES OR REPRESENTATIVES OF THE CITY OF HUTCHINSON OR HUC,
WILL BE RESPONSIBLE FOR ANY DAMAGES OR CLAIMS INCURRED AS A RESULT
OF THE DISCONNECTION OF SERVICES.
Residential utility service may not be disconnected or refused for any of the following
reasons:
• Delinquency in payment for services by a previous occupant of the premises to be
served.
• Failure to pay for a different rate classification of utility service.
• Failure to pay the account of another customer as guarantor thereof.
• Failure to pay charges arising from any underbilling occurring more than 1 year
prior to the current billing and due to any misapplication of rates or faulty metering.
• If a customer is on the Budget Payment Plan and has a credit balance on account.
• Tenant pays current month on account in landlord's name.
Disconnection of Commercial Services by HUC
1. Commercial utility service may be disconnected for any of the following reasons:
• Failure to pay by the deadline on a delinquent account.
• Failure to comply with deposit requirement.
• Failure to pay for merchandise or charges for non -utility service billed by HUC.
• Payment of bill with a dishonored check.
• Failure to provide authorized HUC personnel access to utility equipment.
• HUC shall disconnect commercial utility service, without notice, where service has
been reconnected without HUC's authorization.
• HUC shall disconnect commercial utility service, without notice, where it has
reasonable evidence that utility service is being obtained by potentially unsafe
devices or potentially unsafe methods that stop or interfere with the proper
metering of the utility service.
• HUC may disconnect commercial utility service, without notice, where a dangerous
condition exists for as long as the condition exists.
• At the request of the property owner, as long as it's currently in owner's name and
no tenant occupies property.
• At the request of the realtor/bank, as long as it's currently in their name.
2. HUC must have a Landlord Agreement on file acknowledging that landlord/owner will
be responsible for all utility charges after the read-out date requested by a tenant.
Failure of the landlord/owner to execute this form will lead to a shut off of services on
the read-out date requested from tenant.
3. For all items mentioned in number 1 and 2 above, a disconnect/reconnect fee shall be
applied. The disconnect/reconnect fee is as follows:
• A $40 trip charge to disconnect.
• A $40 trip charge to reconnect, payment shall be made with cash, money order or
credit card during regular business hours.
• After hours reconnection will follow the After Hours Reconnection Policy.
4. In the event that the customer pays after the deadline given on the disconnect letter,
and the payment is processed before physical disconnection, a $40 Removal from
Disconnect List Fee will be applied to their account.
5. If a realtor/bank requests to have service reconnected for one day in order to perform
an inspection, a $40 trip charge to reconnect and a $40 disconnect charge will be
applied.
6. In the event of unauthorized use of, or tampering with the equipment of HUC, a
tampering charge of $100 will be assessed to the customer's account. The appropriate
law enforcement agency will be notified. HUC reserves the right to charge the
customer for the cost of repairs to the equipment of HUC.
7. A dishonored payment will be assessed a $30 processing fee.
8. A dishonored payment made to avoid disconnection, or to get reconnected, will be
assessed a $30 processing fee; plus:
• A $40 trip charge to deliver a door hanger, giving customer 24 hours to make
payment good with cash, money order or credit card.
9. HUC is not required to furnish commercial service under conditions requiring operation
in parallel with Backup generating equipment connected to the customer's system if
such operation is hazardous or may interfere with its own operations or service to
other customers or operation as a condition or rendering service under such
circumstances.
FAILURE TO RESPOND TO THE DISCONNECT NOTICE SET FORTH ON THE BILL
OR FAILURE TO PAY FOR SERVICES RENDERED BY HUC MAY RESULT IN THE
DISCONNECTION OF SERVICES TO THE PROPERTY WITHOUT ANY ADDITIONAL
NOTICE TO THE CUSTOMER. IT IS THE CUSTOMER'S RESPONSIBILITY TO PAY
FOR SERVICES RENDERED AND TO ADVISE HUC OF ANY CHANGE IN ADDRESS.
NEITHER HUC NOR THE CITY OF HUTCHINSON, NOR ANY OF THE AGENTS,
EMPLOYEES OR REPRESENTATIVES OF THE CITY OF HUTCHINSON OR HUC,
WILL BE RESPONSIBLE FOR ANY DAMAGES OR CLAIMS INCURRED AS A RESULT
OF THE DISCONNECTION OF SERVICES.
Commercial utility service may not be disconnected or refused for any of the following
reasons:
• Delinquency in payment for services by a previous occupant of the premises to be
served.
• Failure to pay for a different rate classification of utility service.
• Failure to pay the account of another customer as guarantor thereof.
• Failure to pay charges arising from any underbilling occurring more than 1 year
prior to the current billing and due to any misapplication of rates or faulty metering.
• Tenant pays current month on account in landlord's name.
Landlord Acknowledgement
A signed Landlord Acknowledgement provides the following:
• Confirmation and documentation of the landlord/owner.
• Request of HUC to provide utility service to tenants.
• The understanding that the tenant will be responsible for all utility costs between
the date service is required by the tenant and the date the tenant requests read-
out of services.
• The landlord/owner agrees to be responsible for and to pay all utility charges from
the read-out date given by the tenant until services are established with a new
tenant.
• The understanding that failure to pay these charges could result in disconnection
of electric service. HUC is not responsible for any damages alleged to be caused
by service disconnection. Disconnection/reconnection fees apply.
• The landlord/owner has the option to contact HUC to confirm that the utility service
has been placed in the tenant's name.
• The landlord /owner can request the disconnection of services as long as the
account is in the landlord's/owner's name. Disconnection/reconnection fees apply.
Inserts with Utility Bills
Generally, only material which applies directly to HUC business may be inserted into
monthly utility bill mailings. HUC may approve the inclusion of other items, as appropriate.
Identity Theft — "Red Flag Program"
It shall be the policy of HUC to establish an identity theft prevention program, also known
as the "Red Flag Program".
HUC has an identity theft program in place called the "RED FLAG PROGRAM", pursuant
to the Federal Trade Commission's Red Flags Rule, which implements Section 114 of the
Fair and Accurate Credit Transactions Act of 2003. Internal procedures have been
established whereby employees of HUC have been trained on how to recognize and what
procedures to follow if the employee suspects an identity theft is taking place.
Implementation of the Red Flag Program is the responsibility of the Account Supervisor.
Administration and maintenance of the Red Flag Program is the responsibility of the
Financial Manager.
Minnesota Cold Weather Rule
2021 Minnesota Statutes
216B.097 Cold Weather Rule; Cooperative or Municipal Utility
Subdivision 1. Application; notice to residential customer.
(a) A municipal utility or a cooperative electric association must not disconnect
and must reconnect the utility service of a residential customer during the period
between October 1 and April 30 if the disconnection affects the primary heat source
for the residential unit and all of the following conditions are met:
(1) The household income of the customer is at or below 50 percent of the state
median household income. A municipal utility or cooperative electric association
utility may (i) verify income on forms it provides or (ii) obtain verification of income
from the local energy assistance provider. A customer is deemed to meet the income
requirements of this clause if the customer receives any form of public assistance,
including energy assistance, that uses an income eligibility threshold set at or below
50 percent of the state median household income.
(2) A customer enters into and makes reasonably timely payments under a
payment agreement that considers the financial resources of the household.
(3) A customer receives referrals to energy assistance, weatherization,
conservation, or other programs likely to reduce the customer's energy bills.
(b) A municipal utility or a cooperative electric association must, between
August 15 and October 1 each year, notify all residential customers of the provisions
of this section.
Subdivision 2. Notice to residential customer facing disconnection.
(a) Before disconnecting service to a residential customer during the period
between October 1 and April 30, a municipal utility or cooperative electric
association must provide the following information to a customer:
(1) a notice of proposed disconnection;
(2) a statement explaining the customer's rights and responsibilities between
August 15 — October 1;
(3) a list of local energy assistance providers;
(4) forms on which to declare inability to pay; and
(5) a statement explaining available time payment plans and other opportunities
to secure continued utility service.
(b) At the same time that notice is given under paragraph (a), the utility must
also give written or electronic notice of the proposed disconnection to the local
energy assistance provider and the department.
Subdivision 3. Restrictions if disconnection necessary.
(a) If a residential customer must be involuntarily disconnected remotely using
advance metering infrastructure or physically at the property being disconnected
between October 1 and April 30 for failure to comply with subdivision 1, the
disconnection must not occur:
(1) on a Friday, unless the customer declines to enter into a payment agreement
offered that day in person or via personal contact by telephone by a municipal utility
or cooperative electric association;
(2) on a weekend, holiday, or the day before a holiday;
(3) when utility offices are closed; or
(4) after the close of business on a day when disconnection is permitted, unless
a field representative of a municipal utility or cooperative electric association who is
authorized to enter into a payment agreement, accept payment, and continue
service, offers a payment agreement to the customer.
Further, the disconnection must not occur until at least 30 days after the notice
required in subdivision 2 has been mailed to the customer or 15 days after the notice
has been personally delivered to the customer.
(b) The customer must not be disconnected until the utility attempts to confirm
whether the residential unit is actually occupied, which the utility may accomplish
by.
(1) visiting the residential unit; or
(2) examining energy usage data obtained through advanced metering
infrastructure to determine whether there is energy usage over at least a 24-hour
period that indicates occupancy.
(c) A utility may not disconnect a residential customer who is in compliance with
section 21613.098, subdivision 5.
(d) If, prior to disconnection, a customer appeals a notice of involuntary
disconnection, as provided by the utility's established appeal procedure, the utility
must not disconnect until the appeal is resolved.
(e) For the purposes of this section, "advance metering infrastructure" means
an integrated system of meters, communication networks, and data management
systems that enables tow -way communication between a utility and its customers.
Subdivision 4. Cost Recovery.
A municipal utility or cooperative electric association may recover the
reasonable costs of disconnecting and reconnecting a residential customer, based
on the costs of providing notice to the customer and other entities and whether the
process was accomplished physically at the property being disconnected or
reconnected or remotely using advanced metering infrastructure.
Minnesota Government Data Practices Act and Public Records Request
HUC is in compliance with Minnesota Government Data Practices Act and Public Records
Request.
Billing information is available upon signing `Consent To Release Private Data' form.
Forms are available at the office of HUC.
Business information is available upon signing `Information Disclosure Request' form.
Forms are available at the office of HUC.
HUTCHINSON UTILITIES COMMISSION
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Board Action Form
Agenda Item: Approve Policy Changes
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App Changes to Policies
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BACKGROUND/EXPLANATION OFAGENDA ITEM:
As part of HUC's standard operating procedures, a continual policy review is
practiced. The following revisions to the policies below are recommended.
Errors in Billing
After Hours Reconnection Policy
BOARD ACTION REQUESTED:
Approve Policy Changes
Errors in Billing
Overcharged customer accounts will be credited on the next statement or refunded on
the final billing.
Overcharges may only be refunded within e 4c% fire e years of the billing error occurrence.
Undercharged customer accounts may be billed for a correction within one year of the
billing error occurrence and may be billed on a separate invoice, with an explanation of
charges.
After Hours Reconnection Policy
No after hours reconnections will be done from 9.00 p.m. to 7.30 a.m.
After hours reconnection fees:
A $150 Reconnection Fee will be charged for any reconnection that is done:
• From 5.00 p.m. to 9.00 p.m. on Monday through Friday
• From 7.30 a.m. to 9.00 p.m. on Saturdays
A $200 Reconnection Fee will be charged for any reconnection that is done:
• From 7.30 a.m. to 9.00 p.m. on Sundays or Holidays
Payments must be made prior to reconnecting utilities. Office hours are 7.30 a.m. to 4.00
p.m. Monday through Friday, excluding holidays. After hour payments can only be made
with credit card, debit card or electronic check.
Holidays include the following: New Year's Day, Martin Luther King Day, President's Day,
Memorial Day, Juneeenh, Independence Day, Labor Day, Veterans Day, Thanksgiving
Day, Christmas Eve Day, and Christmas Day.