10-25-2023 HUCCPHUTCHINSON UTILITIES COMMISSION
AGENDA
REGULAR MEETING
October 25, 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. Natural Gas Service Requirements & Charges
ii. Temporary Service — Natural Gas
iii. Natural Gas Meter Requirements & Placement
iv. Meter Testing — Natural Gas
v. Natural Gas Service Work
vi. Locating Customer's Underground Utilities — Natural Gas
b. Approve Changes
7. UNFINISHED BUSINESS
8. NEW BUSINESS
a. Approve Req#009714 - 2024 F550 Cab & Chassis
b. Approve Natural Gas Commodity Agreement — United Farmers
Cooperative
C. Approve Natural Gas Firm Transportation Capacity Agreement —
United Farmers Cooperative
d. Approve 2023 Audit Services with Conway Deuth & Schmiesing
e. Approve setting a Special Budget Workshop meeting at 2pm on
November 29, 2023
f. Approve Rescheduling the December 27,2023 Regular Commission
Meeting to December 20, 2023
9. ADJOURN
MINUTES
Regular Meeting — Hutchinson Utilities Commission
Wednesday, September 27, 2023
Call to order — 3:00 p.m.
President Anthony Hanson called the meeting to order. Members present: President
Anthony Hanson; Vice President Matt Cheney; Secretary Don Martinez; Commissioner
Bob Wendorff; Commissioner Kathy Silvernale; GM Jeremy Carter; Attorney Marc Sebora
1. Conflict of Interest
2. Approve Consent Agenda
a. Approve Minutes
b. Ratify Payment of Bills
Motion by Commissioner Martinez, second by Commissioner Cheney to Approve
the Consent Agenda. Motion carried unanimously.
3. Approve Financial Statements
Mr. Martig presented the financial statements. Electric Division Net Income
increased by $28K over August 2022 even with reduced sales and sales for resale.
PCA for the year is down $700K; HUC has not charged PCA due to the low prices.
Transmission costs was over estimated by $4k. Mr. Martig also discussed the Work
Orders.
GM Carter also spoke of the work orders with the long lead times and cost of
materials. Usage/consumption trends compared to cooling/heating days and
behavioral changes out in the community was also discussed.
Motion by Commissioner Wendorff, second by Commissioner Silvernale to Approve
the Financial Statements. Motion carried unanimously.
4. Open Forum
5. Communication
a. City Administrator —Matthew Jaunich —Absent
:��7DI�C•7i�
i. Dan Lang, Engineering Services Manager —
1. Hutchinson Substation 83 MVA Transformer Bid opening was Sept 7. 4
bids were received and are being reviewed.
ii. Dave Hunstad, Electric Transmission/Distribution Manager — Nothing to
report
iii. Mike Gabrielson, Production Manager —
1. Unit 1 LM6000 has been removed
2. 3rd phase of cooling tower will begin the week of October 16tn
iv. John Webster, Natural Gas Division Director — Nothing to report
v. Jared Martig, Financial Manager — Nothing to report
c. Human Resources — Angie Radke
1. Starting to work on 2024 benefits
2. Working on Natural Gas Division Welder/Service Person position
d. Legal — Marc Sebora — Nothing to Report
e. General Manager — Jeremy Carter
1. Provided a City of Hutchinson update — working on budgets and RFP for
old Police Station
2. Business update email was sent out
3. Union negotiations will be starting in October
4. Sitting on Working Groups for APPA; Public Power Energy Transition and
Evolving Technologies on Rate Design
5. Budgets and 5 Year CIP is ramping up
6. Working with Dan Lang on looking at Ancillary services for the generating
units to generate additional revenue.
Conversations were held on a Plant Tour along with the Rate Changes that will
be on the next bill cycle. Rate changes have been posted on Facebook and
HUC Website along with being in the paper and will also be noted on
everyone's bill.
6. Policies
a. Review Policies
i. Electric Service Requirements and Charges
ii. Temporary Service
iii. Temporary Service in Case of Underground Failure
iv. Electric Meter Placement
v. Sealing of Meters
vi. Meter Testing
vii. Right -of -Way Clearing
viii. Tree Removal or Trimming
ix. Locating Customer's Underground Utilities
b. Approve Changes
i. Security Light Rental — Rate to Furnish and Maintain Fixture
ii. Rate Schedule — Electric
iii. Rate Schedule — Natural Gas
Ms. Radke spoke of the policy changes to match what was approved by the City
Council and Commission.
Motion by Commissioner Cheney, second by Commissioner Silvernale to Approve
Policy Changes. Motion carried unanimously.
7. Unfinished Business
2
8. New Business
a. Solar Array Update
Mr. Hunstad provided a Solar Array Update. The array was anticipated to operate
at a 14% capacity factor, however for the first full 18 months the array is operating
at a capacity factor of 19.4%. For the year 2022 the array operated at a capacity
factor of 18.7%. For the first 6 months of 2023, the array operated at a capacity
factor of 20.9%. Discussion was held on the main factors as to why the array is
operating better than expected along with the equipment functionality.
b. Approve the Amended and Restated Operations and Maintenance Agreement
with GRE
Mr. Lang presented Approval of the Amended and Restated Operations and
Maintenance Agreement with GRE. GRE agrees to provide O&M and transmission
services for HUC as it relates to HUC's electric transmission system. The attached
agreement is an update to the original agreement from 2005. HUC will now be billed
for the services, which has not been done in the past. HUC's Substations will be
monitored by GRE's SCADA system. GRE provides multiple services, which include
operating the HUC transmission devices to comply with NERC requirements, testing
and calibration, assistance during emergency situations and outage scheduling,
training, system coordination and other planning services.
GM Carter noted that GRE is the load balancing authority in the area. GRE is
responsible to balance the grid in the region as far as supply and demand and
generation. It is logical to have GRE monitor and operate HUC's transmission assets
in the area.
Motion by Commissioner Cheney, second by Commissioner Wendorff to Approve
the Amended and Restated Operations and Maintenance Agreement with GRE.
Motion carried unanimously.
c. Approve Req#009681 — Construction of a Filter -Meter Building
Mr. Webster presented Approval of Req#009681 — Construction of a Filter -Meter
Building. The building is a 30'x30'x10' pole style building that is required for the
HUC/HCP Interconnect Station. Haggenmiller Lumber was the lowest quote at
$34,255.74. Expenses will be recovered from Heartland Corn Products upon
completion of the project.
Motion by Commissioner Martinez, second by Commissioner Silvernale to Approve
Req#009681 — Construction of a Filter -Meter Building. Motion carried unanimously.
d. Approve Req#009667 — Hot Tap of Transmission Line to TDW (US) Inc
Mr. Webster presented Approval of Req#009667- Hot Tap of Transmission Line to
TDW (US) Inc. In order to transport natural gas to the HUC-HCP Interconnect
3
Station, HUC must have a Hot Tap performed on the Hutchinson's 12" diameter
pipeline.
Motion by Commissioner Silvernale, second by Commissioner Martinez to Approve
Req#009667 — Hot Tap of Transmission Line to TDW (US) Inc. Motion carried
unanimously.
e. Approve Req#009682 — Utility Service Body for 2023 Service Vehicle
Mr. Webster presented Approval of Req#009682 — Utility Service Body for 2023
Service Vehicle. The utility body will be installed on the 2023/24 Chevrolet 3500
Cab and Chassis that was ordered in the Spring of 2022
Motion by Commissioner Cheney, second by Commissioner Wendorff to Approve
Req#009682 — Utility Service Body for 2023 Service Vehicle. Motion carried
unanimously.
9. Adjourn
There being no further business, a motion by Commissioner Martinez, second by
Commissioner Cheney to adjourn the meeting at 3:32p.m. Motion carried
unanimously.
ATTEST:
Anthony Hanson, President
12
Don Martinez, Secretary
MINUTES
Special Meeting — Hutchinson Utilities Commission
Monday, October 9, 2023
Call to order — 10:31 a.m.
President Anthony Hanson called the meeting to order. Members present: President
Anthony Hanson; Vice President Matt Cheney; Secretary Don Martinez; Commissioner
Robert Wendorff; Commissioner Kathy Silvernale; GM Jeremy Carter; Attorney Marc
Sebora
Others Present: Dan Lang
The purpose of the special meeting is to Award Bid for Hutchinson Substation 83MVA
Transformer.
Mr. Lang presented Awarding the Bid for Hutchinson Substation 83MVA Transformer. On
September 7, 2023, 4 bids were received during the bid opening. After reviewing the bid
proposals, Staff and DGR Engineering are recommending awarding the bid to
Pennsylvania Transformer Technology, Inc for a total contract price of $2,682,780.00.
Motion by Commissioner Cheney, second by Commissioner Martinez to Award Bid for
Hutchinson Substation 83MVA Transformer to Pennsylvania Transformer Technology,
Inc. Motion carried unanimously.
There being no further business, a motion by Commissioner Silvernale, second by
Commissioner Wendorff to adjourn the meeting at 10:49a.m. Motion carried
unanimously.
ATTEST:
Anthony Hanson, President
1
Don Martinez, Secretary
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Description
Fund: 1 ELECTRIC
09/22/2023 GEN 1514(E) MRES
09/25/2023 GEN 1524(E)*4 BP CANANDA ENERGY SOLUTIONS
09/25/2023 GEN 1526(E)*4 BP CANANDA ENERGY SOLUTIONS
09/26/2023 GEN 1530(E)*4 ALERUS
09/26/2023 GEN 1544(E) MISO
10/01/2023 GEN 1534(E)* GUARDIAN
10/03/2023 GEN 1535(E)* CITIZENS BANK
10/03/2023 GEN 1540(E)* INVOICE CLOUD
10/03/2023 GEN 1541(E)* PAY MENTECH
10/03/2023 GEN 1545(E) MISO
10/03/2023 GEN 1546(E) MISO
10/03/2023 GEN 79639*4 ACE HARDWARE
Page 1/24
Account Dept
Amount
Purchased
Power
401-555-
02
1,073,150.61
GENERATOR
41 NATURAL
GAS
401-547-
01
240.74
GENERATOR
45 NATURAL
GAS
401-547-
01
37.04
GENERATOR
46 NATURAL
GAS
401-547-
01
45.14
Generator
47 Natural
Gas
401-547-
01
45.14
Generator
49 Natural
Gas
401-547-
01
115.74
HECK GEN
1524(E) TOTAL
FOR FUND 1:
483.80
GENERATOR
41 NATURAL
GAS
401-547-
01
122, 728.36
GENERATOR
45 NATURAL
GAS
401-547-
01
46, 473.74
GENERATOR
46 NATURAL
GAS
401-547-
01
79, 565.57
Generator
47 Natural
Gas
401-547-
01
63,705.74
GENERATOR
49 NATURAL
GAS
401-547-
01
1, 928. 95
Utility Expenses
- Water/Waste
401-930-
08
7.40
HECK GEN
1526(E) TOTAL
FOR FUND 1:
314,409.76
HEALTH CARE - VAN MAREL ADJ (041723-
242-000-
00
(48.72)
HEALTH INSURANCE
401-926-
08
398.44
HECK GEN 1530(E) TOTAL FOR FUND 1:
349.72
Deferred Energy Cost - Miso
174-000-
00
583.68
DENTAL INSURANCE-80o ELEC
242-000-
00
3,700.19
DENTAL INSURANCE -COBRA
242-000-
00
457.01
HECK GEN 1534(E) TOTAL FOR FUND 1:
4,157.20
Office Supplies
401-921-
08
79.23
Collection - Materials
401-903-
06
1,925.82
Collection - Materials
401-903-
06
1,614.49
Deferred Energy Cost - Miso
174-000-
00
16,328.46
Deferred Energy Cost - Miso
174-000-
00
645.78
Supplies
401-550-
01
25.64
Supplies
401-550-
01
9.18
Maintenance Other - Materials
402-554-
01
5.33
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Description
10/03/2023 GEN 79641* ALEXANDER RUED
10/03/2023 GEN 79642* ALYSSA ERPELDING
10/03/2023 GEN 79643* AMBER OR ZACHARY BAUM
10/03/2023 GEN 79645* AMIE CHRISTENSEN
10/03/2023 GEN 79646* ASMITA CHAPAGAIN
10/03/2023 GEN 79647* BILL RUDEEN
10/03/2023 GEN 79648*4 BORDER STATES ELECTRIC SUPPLY
10/03/2023
GEN
79649
BRANDON
KNAKE
10/03/2023
GEN
79650*
BRIANNA
KOMPELIEN
10/03/2023
GEN
796514
CENTRAL
HYDRAULICS
Page 2/24
Account Dept
Amount
Materials
401-588-
02
32.75
HECK GEN 79639 TOTAL
FOR FUND 1:
72.90
DEP REFUND/APPLIED
235-000-
00
260.00
DEP REFUND/APPLIED
235-000-
00
58.50
DEP REFUND/APPLIED
235-000-
00
214.50
DEP REFUND/APPLIED
235-000-
00
65.00
DEP REFUND/APPLIED
235-000-
00
48.75
DEP REFUND/APPLIED
235-000-
00
130.00
CONDUCTOR, 14 TW WHITE
SOL
154-000-
00
50.00
Distribution Inventory
154-000-
00
0.41
KIT, SPLICE, QS4-15SP-QCI-2-4/0-BCA
154-000-
00
3,311.68
DISPENSER, TAPE, SLW WRITE
-ON WITH SMP
154-000-
00
92.68
PADLOCK, TRANSFORMER,
STERLING 4019
154-000-
00
148.75
LUG, KA34U 500 ALCU 1H
TERM BURNDY
154-000-
00
139.59
BULB, 150W, HIS LU150/55
HIS LAMP 44043
154-000-
00
175.08
SPLICE, YS1J4W4W Al/CU
46 to 46 BURNDY
154-000-
00
3.50
TAPE, RED, 3/4" x 66,
3M SCOTCH 35
154-000-
00
52.40
Sales Tax Receivable -
New
186-000-
00
3.47
Sales Tax Receivable -
New
186-000-
00
234.05
Sales Tax Receivable -
New
186-000-
00
10.23
Sales Tax Receivable -
New
186-000-
00
9.60
Sales Tax Receivable -
New
186-000-
00
15.88
HECK GEN 79648 TOTAL
FOR FUND 1:
4,247.32
OVERPAYMENTS
142-000-
00
123.69
DEP REFUND/APPLIED
235-000-
00
91.00
Sales Tax Receivable -
Replace
186-000-
00
1.30
Generator 41 Material
402-554-
01
18.98
HECK GEN 79651 TOTAL
FOR FUND 1:
20.28
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Description
Fund: 1 ELECTRIC
10/03/2023 GEN 79653* CHELSEA WASIK
10/03/2023 GEN 79654* CHRISTOPHER MUECKE
10/03/2023 GEN 79655*4 CINTAS CORPORATION 4470
10/03/2023 GEN 79656*4 CITY OF HUTCHINSON
10/03/2023 GEN 79657 CREEKSIDE SOILS
10/03/2023 GEN 79658* DANIEL FORCIER
10/03/2023 GEN 79661* DON OR KATHY HALBUR
10/03/2023 GEN 79662* ELITE PROPERTIES MN LLC
10/03/2023 GEN 79664* FAITH PROPERTIES
10/03/2023 GEN 79665 FASTENAL COMPANY
10/03/2023 GEN 79666*4 FEDDICK
10/03/2023 GEN 79667 GARY LESHOVSKY
Page 3/24
Account Dept
Amount
GET REFUND/APPLIED
235-000-
00
45.50
GET REFUND/APPLIED
235-000-
00
45.50
Uniforms & Laundry
401-550-
01
247.54
Uniforms & Laundry
401-550-
01
247.54
UNIFORMS & LAUNDRY
401-588-
02
151.33
UNIFORMS & LAUNDRY
401-588-
02
151.33
HECK GEN 79655 TOTAL FOR FUND 1:
797.74
4TH QTR PILOT 70/30
234-000-
00
333,293.80
VEHICLE/EQUIPMENT FUEL -POWER
401-550-
01
108.58
VEHICLES/EQUIPMENT FUEL-ELEC
401-588-
02
1,722. 92
IT ADMIN AND SUPPORT 75/25
401-921-
08
21, 746.44
LEGAL SERVICES 75/25
401-923-
08
7,875.00
VEHICLES/EQUIPMENT FUEL-ADMIN 55/45
401-935-
08
90.05
HECK GEN 79656 TOTAL FOR FUND 1:
364,836.79
Materials
401-588-
02
73.88
GET REFUND/APPLIED
235-000-
00
201.50
GET REFUND/APPLIED
235-000-
00
130.00
GET REFUND/APPLIED
235-000-
00
325.00
GET REFUND/APPLIED
235-000-
00
260.00
Maintenance Other - Materials
402-554-
01
70.67
GLOVE, SIZE L, 5488 LINED DEERSKIN
401-550-
01
183.00
GLOVE, SIZE 2XL, 5488 LINED DEERSKIN
401-550-
01
189.00
GLOVE, SIZE 3XL, 5488 LINED DEERSKIN
401-550-
01
195.00
GLOVE, SIZE XL, 5488 LINED DEERSKIN
401-588-
02
366.00
GLOVE, SIZE M, 5474 DEERSKIN
401-588-
02
450.00
GLOVE, SIZE XL, 5474 DEERSKIN
401-588-
02
750.00
HECK GEN 79666 TOTAL FOR FUND 1:
2,133.00
OVERPAYMENTS
142-000-
00
80.29
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 4/24
Amount
Fund: 1 ELECTRIC
10/03/2023
GEN
79668*
GARY MAGNUSON
GET REFUND/APPLIED
235-000-
00
130.00
10/03/2023
GEN
79669*4
GOODIN COMPANY
Generator 41 Material
402-554-
01
1,319.08
Generator 41 Material
402-554-
01
260.45
Generator 41 Material
402-554-
01
54.43
Maintenance Other - Materials
402-554-
01
234.37
HECK GEN 79669 TOTAL FOR FUND 1:
1,868.33
10/03/2023
GEN
79670
GREAT RIVER ENERGY
TRANSMISSION EXPENSE
401-565-
03
285,704.01
10/03/2023
GEN
79671
GREG OR LAURA WICKENHAUSER
OVERPAYMENTS
142-000-
00
169.35
10/03/2023
GEN
79672*
GREG OR MARY SCHWARZROCK
GET REFUND/APPLIED
235-000-
00
201.50
10/03/2023
GEN
79674*4
HILLYARD/HUTCHINSON
Grounds - Materials
401-935-
08
117.69
10/03/2023
GEN
79675*
HOWARD ANDERSON
Cip - Residential
401-916-
07
25.00
10/03/2023
GEN
79676*
HUTCHFIELD SERVICES
Grounds - Outside Services
401-935-
08
1,093.21
10/03/2023
GEN
79679
IEM ENERGY CONSULTANTS
Development of RFP LM6000
402-554-
01
7,896.00
Generator 41 Outside Services
402-554-
01
5.72
HECK GEN 79679 TOTAL FOR FUND 1:
7,901.72
10/03/2023
GEN
79681
JESSIANA YORK
OVERPAYMENTS
142-000-
00
9.99
10/03/2023
GEN
79683
JOYCE BOERNER
OVERPAYMENTS
142-000-
00
212.16
10/03/2023
GEN
79684
KATIE GAGNON
OVERPAYMENTS
142-000-
00
174.33
10/03/2023
GEN
79685*
KENT SCHULZ
GET REFUND/APPLIED
235-000-
00
211.25
10/03/2023
GEN
796864
KURITA AMERICA INC
TOWER SHIELD, 5173
154-000-
00
6,699.44
Chemical Inventory
154-000-
00
0.12
Sales Tax Receivable - Replace
186-000-
00
468.74
FREIGHT
401-588-
02
118.50
HECK GEN 79686 TOTAL FOR FUND 1:
7,286.80
10/03/2023
GEN
79687*
LIZZA DINNDORF
GET REFUND/APPLIED
235-000-
00
45.50
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 5/24
Amount
Fund: 1 ELECTRIC
10/03/2023
GEN
79688*4
LOCATORS & SUPPLIES INC
PAINT, LOCATING, INVERTED
SURVEY
154-000-
00
49.
98
FREIGHT & TAX
401-588-
02
11.32
CHECK GEN 79688 TOTAL FOR
FUND 1:
61.30
10/03/2023
GEN
79689*
LOGAN AAGAARD
DEP REFUND/APPLIED
235-000-
00
45.50
10/03/2023
GEN
79690*
LORI ZEUG
DEP REFUND/APPLIED
235-000-
00
156.00
10/03/2023
GEN
79691
LUBE-TECH & PARTNERS, LLC
OIL, MOBIL PEGASUS 1005
154-000-
00
16,435.61
Lubricant Inventory
154-000-
00
0.60
CHECK GEN 79691 TOTAL FOR
FUND 1:
16,436.21
10/03/2023
GEN
79692*
MANUEL VASQUEZ OR VIVIAN LEMUS
DEP REFUND/APPLIED
235-000-
00
276.25
10/03/2023
GEN
79693*
MARCO TECHNOLOGIES, LLC
OFFICE SUPPLIES
401-921-
08
536.87
10/03/2023
GEN
79694*
MARGARET WINKELS
DEP REFUND/APPLIED
235-000-
00
65.00
10/03/2023
GEN
79695*
MARTIG, JARED
TRAINING - EXPENSE
401-930-
08
1,455.52
10/03/2023
GEN
796964
MATHESON TRI-GAS INC
Sales Tax Receivable - Replace
186-000-
00
13.98
Generator 41 Material
402-554-
01
203.37
CHECK GEN 79696 TOTAL FOR
FUND 1:
217.35
10/03/2023
GEN
79697*
MATTHEW PROM
DEP REFUND/APPLIED
235-000-
00
65.00
10/03/2023
GEN
796984
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 79698 TOTAL FOR
FUND 1:
6,950.00
10/03/2023
GEN
79699
MCLEOD COUNTY HRA
OVERPAYMENTS
142-000-
00
296.09
10/03/2023
GEN
79701*
MICHAEL OR JESSICA TIEMAN
DEP REFUND/APPLIED
235-000-
00
276.25
10/03/2023
GEN
79703*
MINNESOTA DEPARTMENT OF COMMERCE
Doc - Cip Assessment
401-916-
07
4,268.53
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 6/24
Amount
Fund: 1 ELECTRIC
10/03/2023
GEN
79704*
MISTIN PETERSEN
DEP REFUND/APPLIED
235-000-
00
162.50
10/03/2023
GEN
79706*
NANCY HANSON
DEP REFUND/APPLIED
235-000-
00
175.50
10/03/2023
GEN
79707*
NOAH JAMES
DEP REFUND/APPLIED
235-000-
00
130.00
10/03/2023
GEN
79709*
NUVERA
TELEPHONE
401-921-
08
1,969.53
10/03/2023
GEN
79710*4
OXYGEN SERVICE COMPANY INC
WELDING ROD, 1/8", SP+, 6010, 50LBS
154-000-
00
273.30
BLADE, BAND SAW, EBE 11 X 1 - 5
154-000-
00
102.34
Sales Tax Receivable - New
186-000-
00
27.89
Supplies
401-550-
01
62.13
FREIGHT
401-588-
02
30.00
HECK GEN 79710 TOTAL FOR FUND 1:
495.66
10/03/2023
GEN
79711*4
PRO AUTO & TRANSMISSION REPAIR
Vehicles - Material
402-554-
01
298.66
Vehicles - Material
402-598-
02
245.25
HECK GEN 79711 TOTAL FOR FUND 1:
543.91
10/03/2023
GEN
797124
PROCHASKA LLC
CHLOR 125 (SANI-CHLOR)
154-000-
00
1,127.16
Sales Tax Receivable - Replace
186-000-
00
84.68
FREIGHT
401-588-
02
104.53
HECK GEN 79712 TOTAL FOR FUND 1:
1,316.37
10/03/2023
GEN
797134
KID EQUIPMENT
NOZZLE, 3600 PSI, 46 ROTARY
154-000-
00
416.00
FREIGHT
401-588-
02
17.75
HECK GEN 79713 TOTAL FOR FUND 1:
433.75
10/03/2023
GEN
79716*
RILEY STRENGE
DEP REFUND/APPLIED
235-000-
00
65.00
10/03/2023
GEN
79717*
ROBBY DUNCAN OR AMBER HOFF
DEP REFUND/APPLIED
235-000-
00
107.25
DEP REFUND/APPLIED
235-000-
00
48.75
HECK GEN 79717 TOTAL FOR FUND 1:
156.00
10/03/2023
GEN
797184
RS AMERICAS, INC.
CONNECTOR, TERMINAL BLOCK FUSE,
154-000-
00
25.14
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 7/24
Amount
Fund: 1 ELECTRIC
LIGHT, PILOT, RED, ABB LED 24V,
154-000-
00
38.20
CONNECTOR, TERMINAL BLOCK FUSE,
154-000-
00
83.80
FREIGHT
401-588-
02
30.00
HECK GEN 79718 TOTAL FOR FUND 1:
177.14
10/03/2023
GEN
79721*
SHRED RIGHT
OFFICE SUPPLIES -SHREDDING SERVICES
401-921-
08
15.47
10/03/2023
GEN
79723*
STEVEN ROHDE
DEP REFUND/APPLIED
235-000-
00
84.50
10/03/2023
GEN
79724*
T-JAY PORTMAN
DEP REFUND/APPLIED
235-000-
00
188.50
10/03/2023
GEN
79725*
TANNER AABERG
DEP REFUND/APPLIED
235-000-
00
48.75
10/03/2023
GEN
79726
TESSA HENRY
OVERPAYMENTS
142-000-
00
52.65
10/03/2023
GEN
797274
TRAFFIC CONTROL CORPORATION
SIGNAL, LUMINATION ZEDS, RED TINTED
154-000-
00
50.00
FREIGHT
401-588-
02
25.00
HECK GEN 79727 TOTAL FOR FUND 1:
75.00
10/03/2023
GEN
797284
TWIN CITY HOSE
Sales Tax Receivable - Replace
186-000-
00
68.06
1" Custom Triple Leg Assembly Qt.24776
402-554-
01
990.00
Materials
401-588-
02
25.67
HECK GEN 79728 TOTAL FOR FUND 1:
1,083.73
10/03/2023
GEN
79729*
UNITED INFORMATION SERVICES, INC
COLLECTION - MATERIALS
401-903-
06
2,003.IS
COLLECTION - MATERIALS
401-903-
06
764.50
HECK GEN 79729 TOTAL FOR FUND 1:
2,767.68
10/03/2023
GEN
79730*
UNITED PARCEL SERVICE
MAIL SERVICES - UPS, FEDEX
401-921-
08
77.95
10/03/2023
GEN
79731*
VERIZON WIRELESS
TELEPHONE
401-921-
08
1,092.71
10/03/2023
GEN
797324
WARTSILA OF NORTH AMERICA, INC
SEALING, WASHER, CYLINDER HEAD COVER
154-000-
00
196.56
WASHER, RETAINING, CYLINDER HEAD COVER
154-000-
00
48.60
PIPE, 120 096
154-000-
00
87.12
SEALING, BUSH, 120 097
154-000-
00
1,909.80
FLANGE, 120 098
154-000-
00
1,988.70
CONTAINER, WATER 372 388
154-000-
00
1,644.36
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Description
Account
Dept
Page 8/24
Amount
Fund: 1 ELECTRIC
Sales Tax Receivable - Replace
186-000-
00
423.77
FREIGHT
401-588-
02
288.75
CHECK GEN 79732 TOTAL FOR FUND 1:
6,587.66
10/03/2023
GEN
79733*
WILLIAM
POWELL OR GENEVIEVE POWELL GET REFUND/APPLIED
235-000-
00
211.25
10/03/2023
GEN
79734
ZIEGLER
POWER SYSTEMS Generator 46 Material
402-554-
01
375.00
Generator 47 Material
402-554-
01
375.00
CHECK GEN 79734 TOTAL FOR FUND 1:
750.00
10/10/2023
GEN
1547(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
18,420.00
10/10/2023
GEN
1548(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
601.63
10/11/2023
GEN
1550(E)
ALERUS
HEALTH INSURANCE - A MIELKE
401-546-
01
158.91
10/13/2023
GEN
1539(E)
MISO
10
401-565-
03
5,027.23
26
401-565-
03
15,105.90
26A
401-565-
03
28,618.78
26E
401-565-
03
13.66
1
401-565-
03
3,830.48
CHECK GEN 1539(E) TOTAL FOR FUND 1:
52,596.05
10/16/2023
GEN
1551(E)*4
VISA
Structure & Improvements (Bull
101-341-
00
69.69
Sales Tax Receivable - Replace
186-000-
00
0.53
Sales Tax Receivable - Replace
186-000-
00
9.00
Sales Tax Receivable - Replace
186-000-
00
17.08
Sales Tax Receivable - Replace
186-000-
00
14.23
Generator 49 Material
402-554-
01
180.69
ACCESSORY PLANT - MATERIALS
402-554-
01
57.65
Accessory Plant - Materials
402-554-
01
6.78
Accessory Plant - Materials
402-554-
01
114.26
Accessory Plant - Materials
402-554-
01
216.90
Vehicles - Material
402-554-
01
76.87
Maintenance Other - Materials
402-554-
01
157.30
Maintenance Other - Materials
402-554-
01
810.96
Maintenance Other - Materials
402-554-
01
154.83
Training - Expense
401-580-
02
47.68
Training - Expense
401-580-
02
120.28
Training - Expense
401-580-
02
126.92
Training - Expense
401-580-
02
44.38
Line - Materials
401-581-
02
112.14
10/18/2023 01:32
PM
CHECK DISBURSEMENT
REPORT FOR HUTCHINSON UTILITIES
Page 9/24
User: JMartig
CHECK DATE FROM
09/21/2023 - 10/18/2023
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 1 ELECTRIC
Materials
401-588-
02
147.86
Structures & Equipment - Mater
402-592-
02
15.08
Power Equipment - Materials
402-598-
02
149.06
Telephone
401-921-
08
34.61
Breakroom/Recognition Banquet
401-926-
08
26.62
Breakroom/Recognition Banquet
401-926-
08
25.95
Breakroom/Recognition Banquet
401-926-
08
19.29
Training - Expense
401-930-
08
314.96
HECK GEN 1551(E) TOTAL FOR FUND 1:
3,071.60
10/17/2023
GEN
1549(E)
MISO
Deferred Energy Cost - Miso
174-000-
00
532.88
10/17/2023
GEN
7973514
ACE HARDWARE
Supplies
401-550-
01
21.36
Maintenance Other - Materials
402-554-
01
28.17
Power Equipment - Materials
402-598-
02
4.68
Grounds - Materials
401-935-
08
10.25
CHECK GEN 79735 TOTAL FOR FUND 1:
64.46
10/17/2023
GEN
797364
AIRGAS SPECIALTY PRODUCTS
AQUA -AMMONIA, 19% NH3
154-000-
00
10,824.19
Sales Tax Receivable - Replace
186-000-
00
750.01
FREIGHT & TAX
401-588-
02
84.99
CHECK GEN 79736 TOTAL FOR FUND 1:
11,659.19
10/17/2023
GEN
79737
AMBER MARTIN
OVERPAYMENTS
142-000-
00
40.
94
10/17/2023
GEN
79738*4
BORDER STATES ELECTRIC SUPPLY
SPLICE, 42 TO 42 AL/CU YSU2R2R
154-000-
00
3.65
TAPE, SUPER 33+ PROFESSIONAL GRADE
154-000-
00
108.40
CONDUCTOR, 41/0 15 KV SOL At, TRXLP,
154-000-
00
19,112.08
Sales Tax Receivable - New
186-000-
00
0.25
Sales Tax Receivable - New
186-000-
00
1,321.78
Materials
401-588-
02
5.33
CHECK GEN 79738 TOTAL FOR FUND 1:
20,551.49
10/17/2023
GEN
79740*
CALYN LANDFAIR
Meetings & Travel - Expense (S
401-903-
06
146.67
10/17/2023
GEN
79741
CARLY'S SHOE STORE
Uniforms & Laundry
401-588-
02
224.99
10/17/2023
GEN
79742*4
CINTAS CORPORATION 4470
Uniforms & Laundry
401-550-
01
247.54
Uniforms & Laundry
401-550-
01
247.54
Uniforms & Laundry
401-550-
01
216.97
Uniforms & Laundry
401-550-
01
247.54
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Description
10/17/2023 GEN 7974314 CITY OF HUTCHINSON
10/17/2023
GEN
79744
DESIGN ELECTRIC, INC
10/17/2023
GEN
79745
DIANE JUDE
10/17/2023
GEN
797464
E2 ELECTRIC
10/17/2023
GEN
79747
EMIL MISHIYEV
10/17/2023
GEN
79748
EMMA CARLSON
10/17/2023
GEN
79749*
FIRST CHOICE FOOD & BEVERAGE
10/17/2023
GEN
797514
FS3 INC
Account Dept
Page 10/24
Amount
FREIGHT
401-588-
02
19.05
UNIFORMS & LAUNDRY
401-588-
02
151.33
UNIFORMS & LAUNDRY
401-588-
02
151.33
T-SHIRT, ORANGE, SIZE LARGE REGULAR,
401-588-
02
224.10
T-SHIRT, ORANGE, SIZE XX-LARGE
TALL,
401-588-
02
254.10
UNIFORMS & LAUNDRY
401-588-
02
80.30
UNIFORMS & LAUNDRY
401-588-
02
151.33
HECK GEN 79742 TOTAL FOR FUND
1:
1,991.13
Generator 41 Water & Sewer
401-547-
01
197.52
Generator 41 Water & Sewer
401-547-
01
562.65
Waste Disposal
401-550-
01
3,242.81
Waste Disposal
401-550-
01
41.81
Waste Disposal
401-550-
01
567.12
Line - Materials
402-594-
02
145.81
IT ADMIN AND SUPPORT 75/25
401-921-
08
3, 448. 91
Utility Expenses - Water/Waste
401-930-
08
12.40
Utility Expenses - Water/Waste
401-930-
08
536.47
HECK GEN 79743 TOTAL FOR FUND
1:
8,755.50
Maintenance Other - Materials
402-554-
01
306.98
Cip - Residential
401-916-
07
25.00
Transformers (Distribution Onl
107-368-
00
11,508.35
Street Lighting - Materials
402-596-
02
2,925.00
HECK GEN 79746 TOTAL FOR FUND
1:
14,433.35
OVERPAYMENTS
142-000-
00
39.18
OVERPAYMENTS
142-000-
00
35. 72
BREAKROOM/RECOGNITION BANQUET
401-926-
08
330.00
ADHESIVE, BONDUIT BULK KIT, BT-KITB6
154-000-
00
557.11
ADHESIVE, BONDUIT BULK KIT, BT-KITB6
154-000-
00
557.11
Sales Tax Receivable - New
186-000-
00
39.88
Sales Tax Receivable - New
186-000-
00
39.84
FREIGHT
401-588-
02
22.93
FREIGHT
401-588-
02
22.34
HECK GEN 79751 TOTAL FOR FUND
1:
1,239.21
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 11/24
Amount
Fund: 1 ELECTRIC
10/17/2023
GEN
7975214
GOPHER STATE ONE -CALL INC
Line - Materials
401-581-
02
270.68
10/17/2023
GEN
797534
GBAYBAR ELECTRIC COMPANY INC
Sales Tax Receivable - Replace
186-000-
00
67.90
Alpha Technologies Cordex power supply
402-554-
01
862.26
HECK GEN 79753 TOTAL FOR FUND 1:
930.16
10/17/2023
GEN
79755
HANSEN GRAVEL INC
Materials
401-588-
02
144.28
10/17/2023
GEN
79756*
HEALTH PARTNERS
HEALTH INSURANCE-85o ELEC
242-000-
00
50,167.51
HEALTH INSURANCE -COBRA
242-000-
00
1,354.32
HECK GEN 79756 TOTAL FOR FUND 1:
51,521.83
10/17/2023
GEN
79757*4
HUTCHINSON LEADER
Cip - Marketing
401-916-
07
455.25
Advertising/Printing
401-921-
08
41.34
HECK GEN 79757 TOTAL FOR FUND 1:
496.59
10/17/2023
GEN
797584
HUTCHINSON WHOLESALE SUPPLY CO
Sales Tax Receivable - Replace
186-000-
00
0.96
Generator 41 Material
402-554-
01
13.98
Maintenance Other - Materials
402-554-
01
58.77
HECK GEN 79758 TOTAL FOR FUND 1:
73.71
10/17/2023
GEN
79759*
INNOVATIVE OFFICE SOLUTIONS
Office Supplies
401-921-
08
156.37
Office Supplies
401-921-
08
43.75
HECK GEN 79759 TOTAL FOR FUND 1:
200.12
10/17/2023
GEN
79760
JANICE MORITZ
Cip - Residential
401-916-
07
30.00
10/17/2023
GEN
79761
JEFF BEADELL
OVERPAYMENTS
142-000-
00
600.00
10/17/2023
GEN
79762
JESSICA GARBERG
OVERPAYMENTS
142-000-
00
54.80
10/17/2023
GEN
79763
JOHN GUERRERO
OVERPAYMENTS
142-000-
00
77.17
10/17/2023
GEN
79764
JON BOCK
Cip - Residential
401-916-
07
25.00
10/17/2023
GEN
79765
KAELYN FISH
OVERPAYMENTS
142-000-
00
185.60
10/17/2023
GEN
79766
KARI HENDERSON REED
Cip - Residential
401-916-
07
30.00
10/17/2023
GEN
797674
KURITA AMERICA INC
TOWER SHIELD, 5173
154-000-
00
3,349.72
Sales Tax Receivable - Replace
186-000-
00
237.39
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Description
10/17/2023 GEN 79768 KYLE SHEA OR MADISON KEALY
10/17/2023 GEN 797694 LOCATORS & SUPPLIES INC
10/17/2023 GEN 79770 LUBE-TECH & PARTNERS, LLC
10/17/2023 GEN 797744 MIRATECH
10/17/2023 GEN 79777 NORMA JENSEN
10/17/2023 GEN 79780*4 OXYGEN SERVICE COMPANY INC
Account Dept
Page 12/24
Amount
Supplies
401-550-
01
164.59
Materials
401-588-
02
103.25
HECK GEN 79767 TOTAL
FOR FUND 1:
3,854.95
OVERPAYMENTS
142-000-
00
85.01
FLAG, LOCATING, RED,
4" x 5", ON 21"
154-000-
00
520.00
PAINT, LOCATING, INVERTED
MARKING (256)
154-000-
00
623.81
PAINT, LOCATING, INVERTED
MARKING (256)
154-000-
00
499. 80
PAINT, LOCATING, AERVOE
SURVEY
154-000-
00
107.98
Sales Tax Receivable
- New
186-000-
00
39.58
Sales Tax Receivable
- New
186-000-
00
50.32
Sales Tax Receivable
- New
186-000-
00
41.38
Sales Tax Receivable
- New
186-000-
00
9.46
FREIGHT
401-588-
02
55.70
FREIGHT
401-588-
02
108.12
FREIGHT
401-588-
02
102.12
FREIGHT
401-588-
02
29.61
FREIGHT & TAX
401-588-
02
26.25
RAIN JACKET, 1503JFY,
3XL
401-588-
02
147.50
HECK GEN 79769 TOTAL
FOR FUND 1:
2,361.63
Outside Services
402-554-
01
1,705.00
Outside Services
402-554-
01
1,950.00
HECK GEN 79770 TOTAL
FOR FUND 1:
3,655.00
O-RING, EPDM 6.07 X 1.78
MM
154-000-
00
3.46
O-RING, EPDM 9.25 X 1.78
MM
154-000-
00
3.46
INSERT, COOLER
154-000-
00
102.30
SEAL, 3/8", 0102 0157
154-000-
00
11.86
FILTER ELEMENT, 2U
154-000-
00
510.00
DIAPHRAGM, TO SAMPLE
GAS PUMP
154-000-
00
155.38
FREIGHT
401-588-
02
38.69
FREIGHT
401-588-
02
47.93
HECK GEN 79774 TOTAL
FOR FUND 1:
873.08
Cip - Residential
401-916-
07
30.00
Supplies
401-550-
01
103.78
Supplies
401-550-
01
78.54
Supplies
401-550-
01
62.66
10/18/2023 01:32
PM
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
Page 13/24
User: JMartig
CHECK DATE FROM
09/21/2023 - 10/18/2023
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 1 ELECTRIC
HECK GEN 79780 TOTAL FOR FUND 1:
244.98
10/17/2023
GEN
79781
PHOENIX SOLUTIONS CO
Cip- Commercial
401-916-
07
801.36
10/17/2023
GEN
79782*
PREMIUM WATERS INC
OFFICE SUPPLIES -BOTTLED WATER
401-921-
08
13.36
10/17/2023
GEN
79784*
QUADIENT-LEASE
LEASE/SERVICE AGREEMENTS
401-921-
08
355.
82
LEASE/SERVICE AGREEMENTS
401-921-
08
772.72
HECK GEN 79784 TOTAL FOR FUND 1:
1,128.54
10/17/2023
GEN
79785
RAMONA NELSON
Cip - Residential
401-916-
07
30.00
10/17/2023
GEN
79786
RUNNING'S SUPPLY INC
Maintenance Other - Materials
402-554-
01
10.78
10/17/2023
GEN
79787
SALIENT, INC
Cip- Commercial
401-916-
07
765.25
Cip- Commercial
401-916-
07
1,000.00
HECK GEN 79787 TOTAL FOR FUND 1:
1,765.25
10/17/2023
GEN
79789*
TAMARA JELKIN
Cip - Residential
401-916-
07
25.00
10/17/2023
GEN
79790
THOMAS PESAVENTO OR JACOB SCHEELE
OVERPAYMENTS
142-000-
00
168.87
10/17/2023
GEN
797914
TRANSCAT
SENSOR, AMMONIA (NH3), 0-75 DIM
154-000-
00
185.25
Sales Tax Receivable - Replace
186-000-
00
17.47
FREIGHT
401-588-
02
36.58
HECK GEN 79791 TOTAL FOR FUND 1:
239.30
10/17/2023
GEN
79792*
UNITED INFORMATION SERVICES, INC
COLLECTION - MATERIALS
401-903-
06
433.61
10/17/2023
GEN
79793*
UTILITY FINANCIAL SOLUTIONS, LLC
Misc Services
401-923-
08
4,365.00
10/17/2023
GEN
79794
VAN MAREL, JASON
Line - Materials
402-594-
02
28.80
Line - Materials
402-594-
02
30.00
HECK GEN 79794 TOTAL FOR FUND 1:
58.80
10/17/2023
GEN
79795
VMAX PROPERTIES LLC
OVERPAYMENTS
142-000-
00
212.42
10/17/2023
GEN
797964
WARTSILA OF NORTH AMERICA, INC
WIRE, SAFETY, PAAF312686
154-000-
00
162.12
Sales Tax Receivable - Replace
186-000-
00
13.70
FREIGHT
401-588-
02
37.08
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
Fund: 1 ELECTRIC
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Description
10/17/2023 GEN 79798*4 WEST CENTRAL SANITATION INC
10/17/2023 GEN 79799 WILD FLOWER PROPERTIES
10/17/2023 GEN 79800* WILLIAM GARBERG
10/17/2023 GEN 79801 ZACHARY HINDERMANN
10/17/2023 GEN 79802 ZIEGLER POWER SYSTEMS
10/18/2023 GEN 1552(E)* ALERUS
10/18/2023 GEN 1553(E) CITIZENS BANK
HECK GEN 79796 TOTAL FOR FUND 1:
Account Dept
Page 14/24
Amount
212.90
GENERATOR 41 WATER & SEWER -INDUSTRIAL
401-547-
01
111.84
WASTE DISPOSAL-4TH AVE
401-550-
01
180.58
UTILITY ESP - WATER/WASTE
55/45-
401-930-
08
272.86
HECK GEN 79798 TOTAL FOR
FUND 1:
565.28
OVERPAYMENTS
142-000-
00
324.76
OVERPAYMENTS
142-000-
00
359.
78
HECK GEN 79799 TOTAL FOR
FUND 1:
684.54
Cip - Residential
401-916-
07
400.00
Cip - Residential
401-916-
07
800.00
HECK GEN 79800 TOTAL FOR
FUND 1:
1,200.00
OVERPAYMENTS
142-000-
00
133.93
FREIGHT
401-588-
02
14.15
HEALTH INSURANCE
401-926-
08
398.44
Cip- Commercial
401-916-
07
10,066.68
Total for fund 1 ELECTRIC
2,366,475.96
10/18/2023 01:32
PM
CHECK DISBURSEMENT
REPORT FOR HUTCHINSON UTILITIES
Page 15/24
User: JMartig
CHECK DATE FROM
09/21/2023 - 10/18/2023
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 2 GAS
09/25/2023
GEN
1524(E)*4
BP CANANDA ENERGY SOLUTIONS
GAS FOR RETAIL
401-807-
04
967.60
09/25/2023
GEN
1526(E)*4
BP CANANDA ENERGY SOLUTIONS
GAS FOR RETAIL
401-807-
04
;49,962.58)
3M
401-807-
04
215,934.66
HTI
401-807-
04
2,959.42
UNG
401-807-
04
171.32
BROWNTON
401-807-
04
479.17
Utility Expenses - Water/Waste
401-930-
08
1,559.37
HECK GEN 1526(E) TOTAL FOR FUND 2:
171,141.36
09/26/2023
GEN
1530(E)*4
ALERUS
HEALTH INSURANCE
401-926-
08
132.81
10/01/2023
GEN
1534(E)*
GUARDIAN
DENTAL INSURANCE-20o GAS
242-000-
00
925.05
10/03/2023
GEN
1535(E)*
CITIZENS BANK
Office Supplies
401-921-
08
79.24
10/03/2023
GEN
1540(E)*
INVOICE CLOUD
collection - Materials
401-903-
06
1,575.68
10/03/2023
GEN
1541(E)*
PAY MENTECH
collection - Materials
401-903-
06
1,320.94
10/03/2023
GEN
79639*4
ACE HARDWARE
Materials
401-874-
04
3.78
Other Equipment - Materials
402-895-
04
12.79
HECK GEN 79639 TOTAL FOR FUND 2:
16.57
10/03/2023
GEN
79640
ADEPT BLAST AND PAINT
SERVICES
107-380-
00
255.00
10/03/2023
GEN
79641*
ALEXANDER RUED
DEP REFUND/APPLIED
235-000-
00
140.00
10/03/2023
GEN
79642*
ALYSSA ERPELDING
DEP REFUND/APPLIED
235-000-
00
31.50
10/03/2023
GEN
79643*
AMBER OR ZACHARY BAUM
DEP REFUND/APPLIED
235-000-
00
115.50
10/03/2023
GEN
79644
AMERICAN PUBLIC GAS ASSOCIATION
DUES/MEMBERSHIP EXPENSE
401-930-
08
5,321.31
10/03/2023
GEN
79645*
AMIE CHRISTENSEN
DEP REFUND/APPLIED
235-000-
00
35.00
10/03/2023
GEN
79646*
ASMITA CHAPAGAIN
DEP REFUND/APPLIED
235-000-
00
26.25
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check # Payee
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Description
Fund: 2 GAS
10/03/2023 GEN 79647* BILL RUDEEN
10/03/2023 GEN 79648*4 BORDER STATES ELECTRIC SUPPLY
10/03/2023 GEN 79650* BRIANNA KOMPELIEN
10/03/2023 GEN 79652 CENTURYLINK
10/03/2023 GEN 79653* CHELSEA WASIK
10/03/2023 GEN 79654* CHRISTOPHER MUECKE
10/03/2023 GEN 79655*4 CINTAS CORPORATION 4470
10/03/2023 GEN 79656*4 CITY OF HUTCHINSON
Account Dept
Page 16/24
Amount
DEP REFUND/APPLIED
235-000-
00
70.00
SLEEVE, 2" DRESSER REINFORCING, 2205
154-000-
00
747.28
NIPPLE, 1/2" X 2", BM, STD, SMLS, TEE
154-000-
00
3.28
BUSHING, HEX, ELK STL, 1/2" X 1/4"
154-000-
00
7.20
VALVE, METER, 3/4", INS, LOCKWING, PLG
154-000-
00
2,191.50
VALVE, BALL, 2", FLANGE X FLANGE, FLAT
154-000-
00
475.80
VALVE, BALL, 3", FLANGE X FLANGE, FLAT
154-000-
00
738.88
TAX
401-874-
04
51.38
TAX
401-874-
04
0.23
TAX
401-874-
04
0.50
TAX
401-874-
04
150.67
TAX
401-874-
04
83.51
HECK GEN 79648 TOTAL FOR FUND 2: 4,450.23
DEP REFUND/APPLIED
235-000-
00
49.00
Utilities (Electric, Satellite
401-856-
05
68.54
DEP REFUND/APPLIED
235-000-
00
24.50
DEP REFUND/APPLIED
235-000-
00
24.50
UNIFORMS & LAUNDRY
401-880-
04
99.59
UNIFORMS & LAUNDRY
401-880-
04
99.59
HECK GEN 79655 TOTAL FOR FUND 2:
199.18
4TH QTR PILOT 70/30
234-000-
00
142,840.20
VEHICLE/EQUIPMENT FUEL -GAS
401-880-
04
1,891.19
IT ADMIN AND SUPPORT 75/25
401-921-
08
7,248.81
LEGAL SERVICES 75/25
401-923-
08
2,625.00
VEHICLES/EQUIPMENT FUEL-ADMIN 55/45
401-935-
08
73.68
HECK GEN 79656 TOTAL FOR FUND 2:
154,678.88
10/03/2023 GEN 79658* DANIEL FORCIER DEP REFUND/APPLIED 235-000- 00 108.50
10/03/2023 GEN 796594 DELMAR COMPANY Gasket, Flange, 6", ANSI 600, 107-369- 00 175.40
Gasket, Flange, 6", ANSI 600, 107-369- 00 699.60
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 17/24
Amount
Fund: 2 GAS
FREIGHT
401-874-
04
59.98
HECK GEN 79659 TOTAL FOR FUND 2:
934.98
10/03/2023
GEN
79660
DESIGN ELECTRIC, INC
Materials
402-892-
04
29.44
Materials
402-892-
04
123.39
HECK GEN 79660 TOTAL FOR FUND 2:
152.83
10/03/2023
GEN
79661*
DON OR KATHY HALBUR
DEP REFUND/APPLIED
235-000-
00
70.00
10/03/2023
GEN
79662*
ELITE PROPERTIES MN LLC
DEP REFUND/APPLIED
235-000-
00
175.00
10/03/2023
GEN
796634
ENERGY ECONOMICS
FREIGHT & TAX
401-874-
04
46.00
Copper -Copper Sulfate Reference
401-856-
05
300.00
HECK GEN 79663 TOTAL FOR FUND 2:
346.00
10/03/2023
GEN
79664*
FAITH PROPERTIES
DEP REFUND/APPLIED
235-000-
00
140.00
10/03/2023
GEN
79666*4
FEDDICK
GLOVE, SIZE L, 5474 DEERSKIN
401-880-
04
450.00
10/03/2023
GEN
79668*
GARY MAGNUSON
DEP REFUND/APPLIED
235-000-
00
70.00
10/03/2023
GEN
79669*4
GOODIN COMPANY
Cap, Weld, 6", 0.280" WT „ Standard
107-369-
00
112.38
Flange, Blind, 6", 600 ANSI, Raised
107-369-
00
703.92
Elbow, Weld, 6", 0.280" WT, 90
107-369-
00
847.70
Nipple, Pipe, 1" x 3", XS, T.B.E.,
107-369-
00
49.50
COMPOUND, PIPE JOINT, BLUE MONSTER
154-000-
00
59.24
FREIGHT
401-874-
04
171.39
FREIGHT
401-874-
04
194.63
HECK GEN 79669 TOTAL FOR FUND 2:
2,138.76
10/03/2023
GEN
79672*
GREG OR MARY SCHWARZROCK
DEP REFUND/APPLIED
235-000-
00
108.50
10/03/2023
GEN
796734
GROEBNER & ASSOCIATES INC
Compressin Film, 12" x 7001, 200 ga „
107-369-
00
325.98
Perforating Tool, 2" x 2", Porcupine
107-369-
00
248.86
Compression Film, 5" x 200', 200 ga,
107-369-
00
52.87
FREIGHT & TAX
401-874-
04
61.36
HECK GEN 79673 TOTAL FOR FUND 2:
689.07
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 18/24
Amount
Fund: 2 GAS
10/03/2023
GEN
7967414
HILLYARD/HUTCHINSON
Materials
401-874-
04
169.14
Grounds - Materials
401-935-
08
117.68
HECK GEN 79674 TOTAL FOR FUND 2:
286.82
10/03/2023
GEN
79675*
HOWARD ANDERSON
Cip - Residential
401-916-
07
400.00
10/03/2023
GEN
79676*
HUTCHFIELD SERVICES
Grounds - Outside Services
401-935-
08
894.44
10/03/2023
GEN
79677
HUTCHINSON MANUFACTURING
flanged pup, 24"x3" 3M Project
402-892-
04
185.12
flanged pup, 28" x 3" 3M Project
402-892-
04
207.64
Flanged Pup, 13" x 2" 3M Project
402-892-
04
133.19
HECK GEN 79677 TOTAL FOR FUND 2:
525.95
10/03/2023
GEN
796784
IDEAL SHIELD
BUMPER POST SHIELD, 1/8" WALL
154-000-
00
310.00
FREIGHT & TAX
401-874-
04
93.88
HECK GEN 79678 TOTAL FOR FUND 2:
403.88
10/03/2023
GEN
79680
ILLINOIS TOLLWAY
Meetings & Travel - Expense (S
401-870-
04
15.80
10/03/2023
GEN
79682
JMS CONCRETE
Materials
402-892-
04
995.00
10/03/2023
GEN
79685*
KENT SCHULZ
DEP REFUND/APPLIED
235-000-
00
113.75
10/03/2023
GEN
79687*
LIZZA DINNDORF
DEP REFUND/APPLIED
235-000-
00
24.50
10/03/2023
GEN
79688*4
LOCATORS & SUPPLIES INC
PAINT, LOCATING, YELLOW (258),
154-000-
00
599.76
FREIGHT & TAX
401-874-
04
138.79
TAX & FREIGHT
401-874-
04
21.60
SAFETY VEST, MLK-FM389Z-3XL
401-880-
04
88.00
HECK GEN 79688 TOTAL FOR FUND 2:
848.15
10/03/2023
GEN
79689*
LOGAN AAGAARD
DEP REFUND/APPLIED
235-000-
00
24.50
10/03/2023
GEN
79690*
LORI ZEUG
DEP REFUND/APPLIED
235-000-
00
84.00
10/03/2023
GEN
79692*
MANUEL VASQUEZ OR VIVIAN LEMUS
DEP REFUND/APPLIED
235-000-
00
148.75
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 19/24
Amount
Fund: 2 GAS
10/03/2023
GEN
79693*
MARCO TECHNOLOGIES, LLC
OFFICE SUPPLIES
401-921-
08
178.95
10/03/2023
GEN
79694*
MARGARET WINKELS
DEP REFUND/APPLIED
235-000-
00
35.00
10/03/2023
GEN
79695*
MARTIG, JARED
TRAINING - EXPENSE
401-930-
08
485.17
10/03/2023
GEN
79697*
MATTHEW PROM
DEP REFUND/APPLIED
235-000-
00
35.00
10/03/2023
GEN
797004
MESA PRODUCTS INC
Dairyland Sold State Decoupler,
107-369-
00
1,428.00
MIT Flange Mounting Bracket, 6" O.D.
107-369-
00
157.00
FREIGHT & TAX
401-874-
04
142.10
HECK GEN 79700 TOTAL FOR FUND 2:
1,727.10
10/03/2023
GEN
79701*
MICHAEL OR JESSICA TIEMAN
DEP REFUND/APPLIED
235-000-
00
148.75
10/03/2023
GEN
79702
MIKE LIEN
Uniforms & Laundry
401-880-
04
123.70
10/03/2023
GEN
79703*
MINNESOTA DEPARTMENT OF COMMERCE
Doc - Cip Assessment
401-916-
07
1,675.13
10/03/2023
GEN
79704*
MISTIN PETERSEN
DEP REFUND/APPLIED
235-000-
00
87.50
10/03/2023
GEN
797054
MRC GLOBAL
Valve, SP84-Full Bore Ball Valve, 1",
107-369-
00
292.14
6", STD, Seamless, LR 90 Deg Weld
107-369-
00
906.48
Flange, Weld Neck, 6", B.T.M., 0.280"
107-369-
00
829.64
FREIGHT & TAX
401-874-
04
40.58
FREIGHT & TAX
401-874-
04
213.91
FREIGHT
401-874-
04
245.14
FRIGHT
401-874-
04
144.42
FREIGHT & TAX
401-874-
04
206.15
TAX
401-874-
04
57.04
HECK GEN 79705 TOTAL FOR FUND 2:
2,935.50
10/03/2023
GEN
79706*
NANCY HANSON
DEP REFUND/APPLIED
235-000-
00
94.50
10/03/2023
GEN
79707*
NOAH JAMES
DEP REFUND/APPLIED
235-000-
00
70.00
10/03/2023
GEN
797084
NOVASPECT INC
FB107 BASE CHASSIS
107-370-
00
2,343.20
FREIGHT
401-874-
04
71.32
10/18/2023 01:32
PM
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
Page 20/24
User: JMartig
CHECK DATE FROM
09/21/2023 - 10/18/2023
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 2 GAS
HECK GEN 79708 TOTAL FOR FUND 2:
2,414.52
10/03/2023
GEN
79709*
NUVERA
TELEPHONE
401-921-
08
656.51
10/03/2023
GEN
79710*4
OXYGEN SERVICE COMPANY INC
Materials
401-874-
04
62.12
10/03/2023
GEN
79711*4
PRO AUTO & TRANSMISSION REPAIR
Vehicles - Material
402-895-
04
163.71
Vehicles - Material
402-895-
04
93.31
HECK GEN 79711 TOTAL FOR FUND 2:
257.02
10/03/2023
GEN
79714
RENEGADE ENERGY ADVISORS LLC.
M & R STATION EQUIPMENT
107-369-
00
5, 760.00
10/03/2023
GEN
797154
RHINO MARKING & PROTECTION SYSTEMS
TEST STATION, WHITE POST, YELLOW DOME,
154-000-
00
121.20
TEST STATION, RHINO DOME 96"
154-000-
00
1,776.00
FREIGHT
401-874-
04
317.17
HECK GEN 79715 TOTAL FOR FUND 2:
2,214.37
10/03/2023
GEN
79716*
RILEY STRENGE
DEP REFUND/APPLIED
235-000-
00
35.00
10/03/2023
GEN
79717*
ROBBY DUNCAN OR AMBER HOFF
DEP REFUND/APPLIED
235-000-
00
57.75
DEP REFUND/APPLIED
235-000-
00
26.25
HECK GEN 79717 TOTAL FOR FUND 2:
84.00
10/03/2023
GEN
79719
RUNNING'S SUPPLY INC
Materials
402-892-
04
12.90
10/03/2023
GEN
79720
SENSIT TECHNOLOGIES
Other Equipment - Materials
402-895-
04
515.71
10/03/2023
GEN
79721*
SHRED RIGHT
OFFICE SUPPLIES -SHREDDING SERVICES
401-921-
08
5.16
10/03/2023
GEN
79722
SOUTH CENTRAL ELECTRIC ASS'N
UTILITIES (ELECTRIC, SATELLITE
401-856-
05
49.00
10/03/2023
GEN
79723*
STEVEN ROHDE
DEP REFUND/APPLIED
235-000-
00
45.50
10/03/2023
GEN
79724*
T-JAY PORTMAN
DEP REFUND/APPLIED
235-000-
00
101.50
10/03/2023
GEN
79725*
TANNER AABERG
DEP REFUND/APPLIED
235-000-
00
26.25
10/03/2023
GEN
79729*
UNITED INFORMATION SERVICES, INC
COLLECTION - MATERIALS
401-903-
06
1,638.97
COLLECTION - MATERIALS
401-903-
06
625.50
10/18/2023 01:32 PM CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
User: JMartig CHECK DATE FROM 09/21/2023 - 10/18/2023
DE: Hutchinson Utili
Check Date Bank Check # Payee Description Account Dept
Fund: 2 GAS
HECK GEN 79729 TOTAL FOR FUND 2:
10/03/2023
GEN
79730*
UNITED PARCEL SERVICE
MAIL SERVICES - UPS, FEDEX
401-921-
08
10/03/2023
GEN
79731*
VERIZON WIRELESS
TELEPHONE
401-921-
08
10/03/2023
GEN
79733*
WILLIAM POWELL OR GENEVIEVE POWELL
DEP REFUND/APPLIED
235-000-
00
10/16/2023
GEN
1551(E)*4
VISA
Materials
401-874-
04
OTHER EQUIPMENT - MATERIALS 16.59
402-895-
04
OTHER EQUIPMENT - MATERIALS 3.51
402-895-
04
Line - Outside Services
401-856-
05
MATERIALS 9.64
401-856-
05
Utilities (Electric, Satellite
401-856-
05
Materials
402-863-
05
Telephone
401-921-
08
Breakroom/Recognition Banquet
401-926-
08
Breakroom/Recognition Banquet
401-926-
08
Breakroom/Recognition Banquet
401-926-
08
Training - Expense
401-930-
08
HECK GEN 1551(E) TOTAL FOR FUND 2:
10/17/2023
GEN
10(S)
RHINO MARKING & PROTECTION SYSTEMS
Materials
401-874-
04
Materials
401-874-
04
HECK GEN 10(S) TOTAL FOR FUND 2:
10/17/2023
GEN
79735*4
ACE HARDWARE
Materials
402-892-
04
Grounds - Materials
401-935-
08
HECK GEN 79735 TOTAL FOR FUND 2:
10/17/2023
GEN
79738*4
BORDER STATES ELECTRIC SUPPLY
VALVE, BALL, 4", FLANGE X FLANGE, FLAT
154-000-
00
Materials
401-874-
04
HECK GEN 79738 TOTAL FOR FUND 2:
10/17/2023 GEN 79739 BROWN COUNTY RURAL ELECTRIC Utilities (Electric, Satellite 401-856- 05
10/17/2023 GEN 79740* CALYN LANDFAIR Meetings & Travel - Expense (S 401-903- 06
Page 21/24
Amount
2,264.47
25.98
364.24
113.75
995.00
451.29
51.02
94.75
140.28
101.54
16.17
11.54
6.43
8.65
8.88
62.84
11.95
1,348.66
92.72
1,441.38
196.18
120.00
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 22/24
Amount
Fund: 2 GAS
10/17/2023
GEN
79742*4
CINTAS CORPORATION 4470
FREIGHT
401-874-
04
5.95
UNIFORMS & LAUNDRY
401-880-
04
99.59
UNIFORMS & LAUNDRY
401-880-
04
99.59
T-SHIRT, ORANGE, SIZE X-LARGE TALL,
401-880-
04
149.
40
UNIFORMS & LAUNDRY
401-880-
04
80.30
UNIFORMS & LAUNDRY
401-880-
04
99.59
HECK GEN 79742 TOTAL FOR FUND 2:
534.42
10/17/2023
GEN
79743*4
CITY OF HUTCHINSON
IT ADMIN AND SUPPORT 75/25
401-921-
08
1,149.64
Utility Expenses - Water/Waste
401-930-
08
10.15
Utility Expenses - Water/Waste
401-930-
08
429.17
HECK GEN 79743 TOTAL FOR FUND 2:
1,588.96
10/17/2023
GEN
79749*
FIRST CHOICE FOOD & BEVERAGE
BREAKROOM/RECOGNITION BANQUET
401-926-
08
110.00
10/17/2023
GEN
79750
FRANK MADDEN & ASSOCIATES
Legal Services
401-923-
08
129.00
10/17/2023
GEN
79752*4
GOPHER STATE ONE -CALL INC
Materials
401-874-
04
270.67
Line - Outside Services
401-856-
05
36.45
HECK GEN 79752 TOTAL FOR FUND 2:
307.12
10/17/2023
GEN
797544
GROEBNER & ASSOCIATES INC
SCG0620GY, Scar -Guard Outer Wrap,
107-369-
00
154.84
SCG0620GY, Scar -Guard Outer Wrap,
107-369-
00
1,548.40
FREIGHT & TAX
401-874-
04
25.80
FREIGHT & TAX
401-874-
04
121.61
HECK GEN 79754 TOTAL FOR FUND 2:
1,850.65
10/17/2023
GEN
79756*
HEALTH PARTNERS
HEALTH INSURANCE-15o GAS
242-000-
00
8,853.09
10/17/2023
GEN
79757*4
HUTCHINSON LEADER
Public Awareness - Material
401-874-
04
101.17
Public Awareness - Material
401-856-
05
101.17
Cip - Marketing
401-916-
07
151.75
Advertising/Printing
401-921-
08
33.83
HECK GEN 79757 TOTAL FOR FUND 2:
387.92
10/17/2023
GEN
79759*
INNOVATIVE OFFICE SOLUTIONS
Office Supplies
401-921-
08
52.12
Office Supplies
401-921-
08
14.58
CHECK GEN 79759 TOTAL FOR FUND 2:
66.70
10/18/2023 01:32 PM
User: JMartig
DE: Hutchinson Utili
Check Date Bank Check #
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
CHECK DATE FROM 09/21/2023 - 10/18/2023
Payee Description
Account
Dept
Page 23/24
Amount
Fund: 2 GAS
10/17/2023
GEN
79771
LYNN REINKE
Cip - Residential
401-916-
07
25.00
10/17/2023
GEN
797724
MCLEOD COOPERATVIE POWER ASSN
MISC EXPENSE -GAS LINE PUMP
401-880-
04
53.
82
UTILITIES (ELECTRIC, SATELLITE-MCLEOD
401-856-
05
38.66
HECK GEN 79772 TOTAL FOR FUND 2:
92.48
10/17/2023
GEN
797734
MESA SPECIALTY GASES & EQUIPMENT
GAS, CALIBRATION GAS MIXTURE, METHANE
154-000-
00
82.00
TAX
401-874-
04
5.64
FREIGHT
401-874-
04
95.95
HECK GEN 79773 TOTAL FOR FUND 2:
183.59
10/17/2023
GEN
797754
MRC GLOBAL
Stud Bolt Assm, 1" Dia. x 7" Long,
107-369-
00
502.56
6" Cameron T31, 800601-2-216, ANSI 600,
107-369-
00
7,586.62
M & R STATION EQUIPMENT
107-369-
00
144.
42
M & R STATION EQUIPMENT
107-369-
00
144.
42
6.625" O.D. x 0.280" Wall, ERW, API-SL-
107-369-
00
14,148.75
6.625" O.D. x 0.280" Wall, ERW, API-SL-
107-369-
00
4,384.80
6.625" O.D. x 0.280" Wall, ERW, API-SL-
107-369-
00
4,442.91
FITTING, WELD STOP 2", LOW PRESSURE
154-000-
00
624.36
FREIGHT & TAX
401-874-
04
34.55
Materials
401-874-
04
521.58
FREIGHT & TAX
401-874-
04
111.34
FREIGHT & TAX
401-874-
04
3,513.56
HECK GEN 79775 TOTAL FOR FUND 2:
36,159.87
10/17/2023
GEN
797764
MUELLER CO.
FITTING, WELD STOP 3", LOW PRESSURE
154-000-
00
206.33
TAX
401-874-
04
14.19
HECK GEN 79776 TOTAL FOR FUND 2:
220.52
10/17/2023
GEN
79778
NORTHERN BORDER PIPELINE CO
LINE - OUTSIDE SERVICES -INTERCONNECT
401-856-
05
2,000.00
10/17/2023
GEN
79779
NOVASPECT INC
FREIGHT
401-874-
04
29.38
FB107 Analog/Digital Input Card
402-892-
04
1,318.40
Materials
402-892-
04
71.89
HECK GEN 79779 TOTAL FOR FUND 2:
1,419.67
10/17/2023
GEN
79780,4
OXYGEN SERVICE COMPANY INC
Materials
401-874-
04
103.77
Materials
401-874-
04
78.54
Materials
401-874-
04
62.66
10/18/2023 01:32
PM
CHECK DISBURSEMENT REPORT FOR HUTCHINSON UTILITIES
Page 24/24
User: JMartig
CHECK DATE FROM
09/21/2023 - 10/18/2023
DE: Hutchinson
Utili
Check Date
Bank
Check #
Payee
Description
Account
Dept
Amount
Fund: 2 GAS
HECK GEN 79780 TOTAL FOR
FUND 2:
244.97
10/17/2023
GEN
79782*
PREMIUM WATERS INC
OFFICE SUPPLIES -BOTTLED WATER
401-921-
08
4.46
10/17/2023
GEN
79783
PRO AUTO & TRANSMISSION REPAIR
Vehicles - Material
402-895-
04
79.88
10/17/2023
GEN
79784*
QUADIENT-LEASE
LEASE/SERVICE AGREEMENTS
401-921-
08
118.60
LEASE/SERVICE AGREEMENTS
401-921-
08
257.57
HECK GEN 79784 TOTAL FOR
FUND 2:
376.17
10/17/2023
GEN
79788
SIBLEY COUNTY TREASURER
M & R STATION EQUIPMENT
107-369-
00
1,210.00
10/17/2023
GEN
79789*
TAMARA JELKIN
Cip - Residential
401-916-
07
25.00
10/17/2023
GEN
79792*
UNITED INFORMATION SERVICES, INC
COLLECTION - MATERIALS
401-903-
06
354.77
10/17/2023
GEN
79793*
UTILITY FINANCIAL SOLUTIONS, LLC
Misc Services
401-923-
08
4,940.00
10/17/2023
GEN
797974
WAYTEK
Hook up Wire
107-370-
00
49.80
FREIGHT
401-874-
04
19.13
CHECK GEN 79797 TOTAL FOR
FUND 2:
68.93
10/17/2023
GEN
79798*4
WEST CENTRAL SANITATION INC
UTILITY ESP - WATER/WASTE
45/55-
401-930-
08
223.25
10/17/2023
GEN
79800*
WILLIAM GARBERG
Cip - Residential
401-916-
07
350.00
10/18/2023
GEN
1552(E)*
ALERUS
HEALTH INSURANCE
401-926-
08
132.81
Total for fund 2 GAS
440,321.61
TOTAL - ALL FUNDS
2,806,797.57
'*'-INDICATES
CHECK
DISTRIBUTED
TO MORE THAN ONE FUND
'#'-INDICATES
CHECK
DISTRIBUTED
TO MORE THAN ONE DEPARTMENT
HUTCHINSON UTILITIES COMMISSION
COMBINED DIVISIONS
FINANCIAL REPORT FOR SEPTEMBER, 2023
2023
2022
Di
%Chna
2023
2022
Di
%Chna
Full Yr Bud
%of Bud
Combined Division
Customer Revenue
$
2,407,601
$ 2,644,126
$ (236,526)
(8.9%)
$ 26,316,096
$ 28,786,587
$
(2,470,490)
(8.6%)
$ 38,930,509
67.6%
Sales for Resale
$
349,084
$ 608,517
$ (259,433)
(42.6%)
$ 4,213,946
$ 4,013,261
$
200,686
5.0%
$ 4,230,000
99.6%
NU Transportation
$
95,275
$ 101,171
$ (5,896)
(5.8%)
$ 803,892
$ 810,783
$
(6,891)
(0.8%)
$ 1,354,349
59.4%
Electric Division Transfer
$
59,960
$ 59,724
$ 236
0.4%
$ 539,638
$ 537,512
$
2,126
0.4 o
$ 719,517
75.0%
Other Revenues
$
35,634
$ 54,317
$ (18,682)
(34.4%
$ 411,323
$ 504,635
$
(93,312)
(18.5%)
$ 484,081
85.0%
Interest Income
$
78,058
$ 50,088
$ 27,970
55.8%
$ 778,642
$ 366,530
$
412,111
112.4%
$ 533,457
146.0%
TOTAL REVENUES
$
3,025,611
$ 3,517,943
$ (492,332)
(14.0%)
$ 33,063,536
$ 35,019,307
$
(1,955,771)
(5.6%)
$ 46,251,913
71.5%
Salaries & Benefits
$
582,920
$ 522,343
$ 60,576
11.60%
$ 5,302,282
$ 5,053,153
$
249,130
4.9%
$ 7,510,583
70.6%
Purchased Commodities
$
1,068,849
$ 1,292,887
$ (224,038)
(17.3%)
$ 14,846,994
$ 16,284,791
$
(1,437,797)
(8.8%)
$ 21,566,760
68.8%
Transmission
$
312,458
$ 309,090
$ 3,368
1.1%
$ 2,446,492
$ 2,297,254
$
149,238
6.5%
$ 3,325,000
73.6%
Generator Fuel/Chem.
$
92,662
$ 399,031
$ (306,369)
(76.8%)
$ 1,243,485
$ 2,357,464
$
(1,113,979)
(47.3%)
$ 1,760,606
70.6%
Depreciation
$
357,236
$ 377,407
$ (20,171)
(5.3%)
$ 3,317,476
$ 3,402,249
$
(84,773)
(2.5%)
$ 4,400,000
75.4%
Transfers (Elect./City)
$
218,671
$ 215,323
$ 3,348
1.6%
$ 1,968,040
$ 1,937,906
$
30,133
1.6%
$ 2,624,053
75.0%
Operating Expense
$
185,912
$ 307,698
$ (121,786)
(39.6%)
$ 2,033,066
$ 2,415,079
$
(382,013)
(15.8%)
$ 3,209,835
63.3%
Debt Interest
$
65,534
$ 75,076
$ (9,542)
(12.7%)
$ 589,805
$ 675,680
$
(85,875)
12.7%
$ 786,406
75.0%
TOTAL EXPENSES
$
2,884,242
$ 3,498,855
$ (614,613)
(17.6%)
$ 31,747,640
$ 34,423,576
$
(2,675,936)
(7.8%)
$ 45,183,243
70.3%
NET PROFIT/(LOSS)
$
141,369
$ 19,087
$ 122,281
640.6%1
1,315,896
$ 595,731
$
720,165
120.9%
$ 1,068,670
123.1%
September
September
YTD
YTD
2023 HUC
2023
2022
Change
2023
2022
Change
Budget Target
Gross Margin %:
38.0%
29.8%
8.2%
31.7%
28.9%
2.8%
31.3%
Operating Income Per Revenue $ (%):
3.7%
0.2%
3.6%
2.7%
1.6%
1.1%
2.3%
Net Income Per Revenue $ (%):
4.7%
0.5%
4.1%
4.0%
1.7%
2.3%
2.3%
HUTCHINSON UTILITIES COMMISSION
ELECTRIC DIVISION
FINANCIAL REPORT FOR SEPTEMBER, 2023
2023
2022
Di .
Electric Division
Customer Revenue
$
1,930,225
$ 2,080,942
$
(150,717)
Sales for Resale
$
349,084
$ 608,517
$
(259,433)
Other Revenues
$
12,352
$ 23,266
$
(10,914)
Interest Income
$
40,423
$ 26,438
$
13,985
TOTAL REVENUES
$
2,332,084
$ 2,739,163
$
(407,079)
Salaries & Benefits $
Purchased Power $
Transmission $
Generator Fuel/Chem. $
Depreciation $
Transfers (Elect./City) $
Operating Expense $
Debt Interest $
TOTAL EXPENSES $
NET PROFIT/(LOSS) $
432,412 $ 400,543 $ 31,869
786,921 $ 932,750 $ (145,829)
312,458 $ 309,090 $ 3,368
92,662 $ 399,031 $ (306,369)
266,847 $ 287,150 $ (20,303)
169,911 $ 167,519 $ 2,392
123,556 $ 240,362 $ (116,805)
37,738 $ 40,071 $ (2,333)
2,222,506 $ 2,776,516 $ (554,011)
578 5 (37,353) 5 146,931
% Chna 2023 2022 Di .
(7.2%) $ 17,599,865 $ 19,162,976 $ (1,563,111)
(42.6%) $ 4,213,946 $ 4,013,261 $ 200,686
(46.9%) $ 172,619 $ 235,571 $ (62,952)
52.9% $ 402,083 $ 195,847 $ 206,236
(14.9%)l $ 22,388,513 $ 23,607,655 $ (1,219,142)
8.0% $ 3,998,795 $ 3,829,881 $ 168,914
(15.6%) $ 9,310,440 $ 9,896,110 $ (585,670)
1.1% $ 2,446,492 $ 2,297,254 $ 149,238
(76.8%) $ 1,243,485 $ 2,357,464 $ (1,113,979)
(7.1%) $ 2,502,037 $ 2,581,331 $ (79,294)
1.4% $ 1,529,198 $ 1,507,669 $ 21,529
(48.6%) $ 1,400,560 $ 1,732,390 $ (331,830)
(5.8%) $ 339,642 $ 360,642 $ (21,000)
(20.0%) $ 22,770,649 $ 24,562,741 $ (1,792,093)
393.4%) $ (382,136) $ (955,087) $ 572,951
2023 2022 Di . % Chna 1 2023 2022 Di .
75% of Year Comp.
% Chna
Full Yr Bud
% of Bud
(8.2%)
$ 25,750,654
68.3%
5.0%
$ 4,230,000
99.6%
(26.7%)l
187,047
92.3%
105.3% $ 283,457 141.8%
(5.2%) $ 30,451,158 73.5%
4.4%
$ 5,465,303
73.2%
(5.9%)
$ 12,862,000
72.4%
6.5%
$ 3,325,000
73.6%
(47.3%)
$ 1,760,606
70.6%
(3.1%)
$ 3,300,000
75.8%
1.4%
$ 2,038,931
75.0%
(19.2%)
$ 1,954,789
71.6%
5.8%
$ 452,856
75.0%
(7.3%)
$ 31,159,485
73.1%
(60.0%)
$ (708,327)
53.9%
75% of Year Comp.
% Chna
Full Yr Bud
% of Bud
Electric Division
Residential
4,349,811
4,247,602
102,209
2.41%
41,897,246
41,459,679
437,567
1.06%
54,834,787
76.4%
All Electric
118,620
128,710
(10,090)
(7.84%)
1,838,686
2,026,206
(187,520)
(9.25%)
2,716,035
67.7%
Small General
1,492,068
1,441,078
50,990
3.54%
14,277,245
13,878,954
398,291
2.87%
18,332,200
77.9%
Large General
6,750,110
7,150,180
(400,070)
(5.60%)
61,036,200
64,507,970
(3,471,770)
(5.38%)
84,325,256
72.4%
Industrial
7,923,000
9,099,000
(1,176,000)
(12.92%)
82,219,000
88,928,000
(6,709,000)
(7.54%)
120,422,724
68.3%
Total KWH Sold
20,633,609
22,066,570
(1,432,961)
(6.49%)l
201,268,377
210,800,809
(9,532,432)
(4.52%)l
280,631,002
71.7%
September
September
YTD
YTD
2023
HUC
2023
2022
Change
2023
2022
Change
Budget
Target
Gross Margin %:
33.8%
25.2%
8.6%
26.3%
23.5%
2.8%
26.7%
Operating Income Per Revenue $ (%):
4.6%
-1.3%
5.9%
-2.3%
-4.0%
1.6%
-1.9%
Net Income Per Revenue $ (%):
4.7%
-1.4%
6.1%
-1.7%
-4.0%
2.3%
-2.3%
Customer Revenue per KWH:
$0.0935
$0.0943
-$0.0008
$0.0874
$0.0909
-$0.0035
$0.0918
$0.0918
Total Power Supply Exp. per KWH:
$0.0735
$0.0915
-$0.0180
$0.0802
$0.0844
-$0.0042
$0.0786
$0.0786
Notes/Graphs:
Net Income increased by $146,931 over September 2022 even with reduced sales and sales for resale. This is mostly due to offsetting decreases in power
supply, generator fuel, and operating costs. Sales for Resale was down again in September with the ending of our tolling agreement with Dynasty Power in June.
Sales for Resale of $349,084 consisted of $104,834 in market sales, $98,000 in capacity sales to Rice Lake, and $146,250 in capacity sales to AEP. September 2022
Sales for Resale of $608,517 included $154,455 in market sales, $98,000 in capacity sales to Rice Lake, $146,250 in capacity sales to AEP and $209,812 in tolling
sales to Dynasty Power. September 2021 Sales for Resale of $290,214 consisted of $45,964 in market sales, $98,000 in capacity sales to Rice Lake, and $146,250 in
capacity sales to AEP.
Overall Purchased Power decreased by $145,929. MRES purchases decreased by $38,645 and market purchases/MISO costs decreased by $107,184.
The average cost of MISO power was $25.00/mwh (2,395 mwh's purchased), compared to $46.55/mwh (3,048 mwh's purchased) in September 2022.
Power Cost Adjustment for September 2023 was $.00000/kwhr bringing in $304,953 YTD.
Power Cost Adjustment for September 2022 was $.00455/kwhr bringing in $100,794 for the month and $1,143,575 YTD.
HUTCHINSON UTILITIES COMMISSION
GAS DIVISION
FINANCIAL REPORT FOR SEPTEMBER, 2023
2023
2022
2
%Chna
2023
2022
2
%Chna
Full YrBud
%of Bud
Gas Division
Customer Revenue
$
477,376
$ 563,184
$
(85,809)
(15.2%)
$ 8,716,231
$ 9,623,611
$ (907,379)
(9.4%)
$ 13,179,855
66.1%
Transportation
$
95,275
$ 101,171
$
(5,896)
(5.8%)
$ 803,892
$ 810,783
$ (6,891)
(0.8%)
$ 1,354,349
59.4%
Electric Div. Transfer
$
59,960
$ 59,724
$
236
0.4%
$ 539,638
$ 537,512
$ 2,126
0.4%
$ 719,517
75.0%
Other Revenues
$
23,282
$ 31,051
$
(7,768)
(25.0%)
$ 238,704
$ 269,064
$ (30,360)
(11.3%)
$ 297,034
80.4%
Interest Income
$
37,635
$ 23,650
$
13,985
59.1%
$ 376,559
$ 170,683
$ 205,876
120.6%
$ 250,000
150.6%
TOTAL REVENUES
$
693,527
$ 778,779
$
(85,252)
(10.9%)
$ 10,675,023
$ 11,411,653
$ (736,630)
(6.5%)
$ 15,800,755
67.6%
Salaries & Benefits
Purchased Gas
Operating Expense
Depreciation
Transfers (City)
Debt Interest
TOTAL EXPENSES
NET PROFIT/(LOSS)
$ 150,507 $ 121,800 $ 28,707 23.6% $ 1,303,487 $ 1,223,271 $ 80,216 6.6% $ 2,045,280
$ 281,928 $ 360,137 $ (78,209) (21.7%) $ 5,536,554 $ 6,388,681 $ (852,127) (13.3%) $ 8,704,760
$ 62,356 $ 67,336 $ (4,980) (7.4%) $ 632,507 $ 682,690 $ (50,183) (7.4%) $ 1,255,046
$ 90,389 $ 90,257 $ 131 0.1% $ 815,440 $ 820,918 $ (5,479) (0.7%) $ 1,100,000
$ 48,760 $ 47,804 $ 956 2.0% $ 438,841 $ 430,237 $ 8,605 2.0% $ 585,122
$ 27,796 $ 35,004 $ (7,208) 0.0% $ 250,162 $ 315,038 $ (64,875) 20.6% $ 333,550
$ 661,737 $ 722,339 $ (60,602) (8.4%) $ 8,976,992 $ 9,860,835 $ (883,843) (9.0%) $ 14,023,758
$ NNNN 31,790 $ 56,,�yy440 $kkkkNNN (24,650) (43.7%) $ 1,698,032 $ 1,550,818 $ 147,214 9.5% $ 1,776,997 95.6%
75% of Year Comp.
2023 2022 2 %Chnq I 2023 2022 2 %Chnq I Full YrBud %of Bud
63.7%
63.6%
50.4%
74.1%
75.0%
75.0%
64.0%
Gas Division
Residential
6,173,054
7,743,247
(1,570,193)
(20.28%)
279,242,155
317,051,645
(37,809,490)
(11.93%)
449,212,000
62.2%
Commercial
8,057,847
8,949,524
(891,677)
(9.96%)
217,620,678
247,596,671
(29,975,993)
(12.11%)
350,057,000
62.2%
Industrial
35,596,868
47,985,276
(12,388,408)
(25.82%)
576,817,900
658,039,506
(81,221,606)
(12.34%)
919,535,000
62.7%
Total CF Sold
49,827,769
64,678,047
(14,850,278)
(22.96%)
1,373,680,733
1,222,687,822
(149,007,089)
(12.19%)
1,718,804,000
62.5%
September
September
YTD
YTD
2023 HUC
2023
2022
Change
2023
2022
Change
Budget Target
Gross Margin %:
53.1%
46.9%
6.2%
43.5%
40.3%
3.2%
40.4%
Operating Income Per Revenue $ (%):
0.5%
5.6%
-5.1%
13.6%
13.3%
0.3%
10.6% IIIIIIIIIIIIIIIIIIIIII
Net Income Per Revenue $ (%):
4.6%
7.2%
-2.7%
15.9%
13.6%
2.3%
11.2% IIIIIIIIIIIIIIIIIIIIII
Contracted Customer Rev. per CF:
$0.0065
$0.0063
$0.0002
$0.0065
$0.0063
$0.0002
$0.0063 IIIIIIIIIIIIIIII
Customer Revenue per CF:
$0.0166
$0.0138
$0.0027
$0.0099
$0.0095
$0.0004
$0.0091 M
Total Power Supply Exp. per CF:
$0.0060
$0.0060
$0.0000
$0.0053
$0.0054
($0.0001)
$0.0053 "' 1° muuuuuuuuuuuu
Notes/Graphs:
September Net Income decreased by $24,650 due mostly to decreased sales.
There was no fuel cost adjustment for September 2023 and zero YTD.
September 2022 Fuel Credit was zero for the month and total net credits of $20,473 YTD.
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
SEPTEMBER 30, 2023
Electric
Gas
Total
Total
Net Change
Division
Division
2023
2022
Total (YTD)
5,048,558.24
11,595,061.18
16,643,619.42
17,738,951.79
(1,095,332.37)
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
623,857.35
-
623,857.35
395,204.99
228,652.36
-
573,874.55
573,874.55
607,452.34
(33,577.79)
800,000.00
200,000.00
1,000,000.00
1,000,000.00
-
1,459,285.38
-
1,459,285.38
1,443,618.67
15,666.71
-
1,632,016.70
1,632,016.70
1,581,683.34
50,333.36
522,335.64
2,188,694.02
2,711,029.66
2,711,029.66
-
12,524,130.61
17,474,938.45
29,999,069.06
30,795,982.79
(796,913.73)
2,195,991.25
591,794.55
2,787,785.80
3,160,668.27
(372,882.47)
59,141.99
59,142.00
118,283.99
94,415.01
23,868.98
2,255,133.24
650,936.55
2,906,069.79
3,255,083.28
(349,013.49)
1,870,521.40
515,764.67
2,386,286.07
2,148,701.38
237,584.69
(114,461.77)
25,574.98
(88,886.79)
202,972.91
(291,859.70)
293,021.81
-
293,021.81
193,640.26
99,381.55
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)
3,270,478.44
948,472.65
4,218,951.09
4,719,642.55
(500,691.46)
18, 049, 742.29 19, 074, 347.65
690,368.40
3,899,918.60
112,482,149.06
42,872,726.46
(69,464,005.65)
(21,079,815.78)
1,842,989.92
667,710.15
4.5,551,501.73 26,360,539.43
37,124,089.94 38,770,708.62 (1,646,618.68)
4,590,287.00
4,590,287.00
-
155,354,875.52
154,006,746.36
1,348,129.16
(90,543,821.43)
(86,261,229.55)
(4,282,591.88)
2,510,700.07
1,349,514.16
1,161,185.91
71,912,041.16
73,685,317.97
(1,773,276.81)
Total Assets 63,601,244.02 45,434,887.08 109,036,131.10 112,456,026.59 (3,419,895.49)
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
SEPTEMBER 30, 2023
Electric Gas Total
Division Division 2023
730,000.00
19, 546.00
2,397,079.57
150,952.08
54,963.03
3,352,540.68
13,300,000.00
473,973.60
4,021,396.00
77,480.00
514,998.51
109,985.36
98,554.00
18,596,387.47
1,825,000.00
185,608.32
513,541.82
111,183.32
21,035.91
2,656,369.37
5,955,000.00
402,150.99
1,340,466.00
25,827.00
185,601.83
30,300.18
32,851.00
7,972,197.00
41,652,315.87 34,806,320.71
41,652,315.87 34,806,320.71
2,555,000.00
185,608.32
19, 546.00
2,910,621.39
262,135.40
75,998.94
6,008,910.05
13,300,000.00
5,955,000.00
876,124.59
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
26,568,584.47
Total
2022
2,430,000.00
185,608.32
2,958,625.17
300,302.12
70,967.48
5,945,503.09
14,030,000.00
7,780,000.00
1,095,189.87
2,219,565.00
94,162.00
739,855.00
31,387.00
595,141.98
123,254.85
2,041,393.00
680,464.00
29,430,412.70
76,458,636.58 77,080,110.80
76,458,636.58 77,080,110.80
Net Change
Total (YTD)
125,000.00
19, 546.00
(48,003.78)
(38,166.72)
5,031.46
63,406.96
(730,000.00)
(1,825,000.00)
(219,065.28)
1,801,831.00
(16, 682.00)
600,611.00
(5,560.00)
105,458.36
17,030.69
(1,942,839.00)
(647,613.00)
(2,861,828.23)
(621,474.22)
(621,474.22)
Total Liabilities and Net Position 63,601,244.02 45,434,887.08 109,036,131.10 112,456,026.59 (3,419,895.49)
Hutchinson Utilities Commission
Cash -Designations Report, Combined
September 30, 2023
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
September 2023
August 2023
Position
Savings, Checking, Investments varies varies varies 29,999,069.06 29,407,596.72 591,472.34
Total Operating Funds 29,999,069.06 29,407,596.72 591,472.34
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)
3,091,302.08 2,812,851.56 278,450.52
2,711,029.66 2,711,029.66 -
5,802,331.74 5,523,881.22 278,450.52
6,797,207.17
6,797,207.17
1,197,731.90
1,211,168.17 (13,436.27)
1,904,536.00
1,904,536.00
1, 000, 000.00
1, 000, 000.00
3,450,000.00
3,450,000.00
14,349,475.07
14,362,911.34 (13,436.27)
YE
YE
YE
YE
YTD
HUC
2019
2020
2021
2022
2023
Target
Debt to Asset 34.9%
32.3%
30.8%
31.4%
29.9%
Current Ratio 5.11
5.67
5.22
4.47
4.96
RONA 2.25%
3.62%
0.41%
-1.38%
1.38%
Change in
Cash Balance (From 12131114 to
913012023)
Month End
Electric
Elec. Change
Natural Gas
Gas Change
Total
Total Change
8/31/202 3
12, 524,131
17, 474, 938
29, 999, 069
12/31/2022
11,633,212
890,919
15,450,554
2,024,385
27,083,766
2,915,304
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
September 30, 2023
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
September 2023
August 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
varies 29,999,069.06 29,407,596.72 591,472.34
29,999,069.06 29,407,596.72 591,472.34
1,459,285.38 1,360,714.03 98,571.35
522,335.64 522,335.64 -
1,981,621.02 1,883,049.67 98,571.35
Operating Reserve
Min 60 days of 2023 Operating Bud.
4,643,247.50
4,643,247.50 -
Rate Stabalization Funds
$400K-$1.2K
623,857.35
622,401.21 1,456.14
PILOT Funds
Charter (Formula Only)
1,319,414.00
1,319,414.00 -
Catastrophic Funds
Risk Mitigation Amount
800,000.00
800,000.00
Capital Reserves
5 Year CIP (2023-2027 Fleet & Infrastructure Maintenance)
2,750,000.00
2,750,000.00 -
Total Designated Funds
10,136,518.85
10,135,062.71 1,456.14
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%
34.5%
39.8%
Current Ratio 5.26
6.18
5.70
4.96
4.43
3.75
RONA -0.4%
2.5%
-1.2%
-4.2%
-0.7%
NA
>0%
Notes/Graphs:
Hutchinson Utilities Commission
Cash -Designations Report, Gas
September 30, 2023
Change in
Financial
Annual
Balance,
Balance,
Cash/Reserve
Institution
Current Interest Rate
Interest
September 2023
August 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 29,999,069.06 29,407,596.72 591,472.34
29,999,069.06 29,407,596.72 591,472.34
Min 60 days of 2023 Operating Bud.
$200K-$600K
Charter (Formula Only)
Risk Mitigation Amount
5 Year CIP (2023-2027 Fleet & Infrastructure Maintenance)
1,632,016.70 1,452,137.53 179,879.17
2,188,694.02 2,188,694.02 -
3,820,710.72 3,640,831.55 179,879.17
2,153,959.67
2,153,959.67
573,874.55
588,766.96 (14,892.41)
585,122.00
585,122.00
200,000.00
200,000.00
700,000.00
700,000.00
4,212,956.22
4,227,848.63 (14,892.41)
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%
23.4%
35%-50%
Current Ratio 4.96
5.18
4.79
4.06
5.59
1.0-3.0
RONA 6.4%
5.3%
2.9%
3.0%
4.4%
2%-5%
Notes/Graphs:
HUTCHINSON UTILITIES COMMISSION
Investment Report
For the Month Ended September 30, 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
4.900%
4.900%
NA
NA
-
121,034.86
-
-
-
N/A
Wells Fargo
FHLB
4.750%
4.750%
02/01/2023
02/01/2024
1,000,000.00
997,300.00
1,000,000.00
(2,700.00)
-
N/A
Wells Fargo
FFCB
4.250%
4.250%
12/20/2022
12/20/2024
1,000,000.00
986,010.00
1,000,000.00
(13,990.00)
-
N/A
Wells Fargo
FFCB
4.000%
4.000%
40/10/2023
03/10/2025
580,000.00
568,452.20
580,000.00
(11,547.80)
-
N/A
Wells Fargo
FHLB
5.000%
5.000%
05/31/2023
11/26/2025
1,000,000.00
985,390.00
1,000,681.44
(15,291.44)
681.44
02/26/2024
Wells Fargo
FHLB
0.400%
0.587%
01/29/2021
01/29/2026
295,000.00
266,570.85
295,000.00
(28,429.15)
-
01/29/2024
Wells Fargo
FHLB
0.400%
0.525%
02/09/2021
02/09/2026
470,000.00
423,112.80
470,000.00
(46,887.20)
-
02/09/2024
Wells Fargo
FHLB
0.750%
1.432%
04/29/2021
04/29/2026
400,000.00
370,328.00
400,000.00
(29,672.00)
-
12/29/2023
Wells Fargo
FHLB
0.650%
1.069%
06/30/2021
06/30/2026
300,000.00
270,093.00
300,000.00
(29,907.00)
-
12/30/2023
Wells Fargo
FHLB
0.700%
1.281%
09/30/2021
09/30/2026
250,000.00
225,055.00
250,000.00
(24,945.00)
-
12/30/2023
Wells Fargo
CD's
2.550%
2.550%
06/17/2022
12/18/2023
245,000.00
243,444.25
245,000.00
(1,555.75)
-
N/A
Wells Fargo
CD's
0.300%
0.300%
01/08/2021
01/08/2024
245,000.00
241,562.65
245,000.00
(3,437.35)
-
N/A
Wells Fargo
CD's
0.450%
0.450%
04/14/2021
04/15/2024
245,000.00
238,402.15
245,000.00
(6,597.85)
-
02/14/2024
Wells Fargo
CD's
2.800%
2.800%
06/17/2022
06/17/2024
245,000.00
240,239.65
245,000.00
(4,760.35)
-
N/A
Wells Fargo
CD's
0.550%
0.550%
08/02/2021
08/05/2024
245,000.00
234,685.50
245,000.00
(10,314.50)
-
N/A
Wells Fargo
CD's
4.800%
4.800%
11/16/2022
11/15/2024
245,000.00
242,616.15
245,000.00
(2,383.85)
-
N/A
Wells Fargo
CD's
1.100%
1.100%
01/31/2022
01/31/2025
245,000.00
230,728.75
245,000.00
(14,271.25)
-
01/31/2024
Wells Fargo
CD's
1.600%
1.600%
02/23/2022
02/24/2025
245,000.00
231,711.20
245,000.00
(13,288.80)
-
N/A
Wells Fargo
CD's
4.650%
4.650%
04/12/2023
04/07/2025
245,000.00
241,498.95
245,000.00
(3,501.05)
-
N/A
Wells Fargo
CD's
4.650%
4.650%
40/14/2023
04/14/2025
245,000.00
241,442.60
245,000.00
(3,557.40)
-
N/A
Wells Fargo
CD's
3.100%
3.100%
06/15/2022
06/16/2025
245,000.00
235,035.85
245,000.00
(9,964.15)
-
N/A
Wells Fargo
CD's
3.100%
3.100%
06/15/2022
06/16/2025
245,000.00
235,035.85
245,000.00
(9,964.15)
-
N/A
Wells Fargo
CD's
3.300%
3.300%
08/26/2022
08/26/2025
245,000.00
234,918.25
245,000.00
(10,081.75)
-
N/A
Wells Fargo
CD's
1.000%
1.000%
05/19/2021
05/19/2026
245,000.00
218,451.80
245,000.00
(26,548.20)
-
N/A
Wells Fargo
CD's
1.000%
1.000%
07/28/2021
07/28/2026
245,000.00
216,425.65
245,000.00
(28,574.35)
-
N/A
Wells Fargo
CD's
1.050%
1.050%
08/08/2021
08/25/2026
238,000.00
210,370.58
238,000.00
(27,629.42)
-
N/A
Wells Fargo
CD's
1.000%
1.207%
07/31/2021
07/13/2028
245,000.00
203,788.55
245,000.00
(41,211.45)
12/13/2023
Broker Total
49.6%
9,453,000.00
9,153,705.09
9,453,681.44
(421,011.21)
681.44
Cetera Investment Services
Money Market
0.600%
0.600%
N/A
N/A
-
35,183.99
-
-
-
N/A
Cetera Investment Services
Municipal Bonds
3.400%
3.148%
12/20/2018
11/01/2023
125,000.00
124,747.50
126,376.25
(1,628.75)
1,376.25
N/A
Cetera Investment Services
Municipal Bonds
3.400%
3.148%
12/20/2018
11/01/2023
65,000.00
64,868.70
65,715.65
(846.95)
715.65
N/A
Cetera Investment Services
Municipal Bonds
2.854%
3.173%
12/20/2018
02/01/2024
100,000.00
98,989.00
99,605.96
(616.96)
(394.04)
N/A
Cetera Investment Services
Municipal Bonds
2.977%
3.246%
12/20/2018
03/15/2024
250,000.00
247,080.00
248,743.99
(1,663.99)
(1,256.01)
N/A
Cetera Investment Services
Municipal Bonds
1.940%
1.821%
01/13/2020
05/01/2024
65,000.00
63,636.30
65,570.70
(1,934.40)
570.70
N/A
Cetera Investment Services
Municipal Bonds
5.742%
3.658%
04/11/2019
08/01/2024
100,000.00
100,160.00
109,960.00
(9,800.00)
9,960.00
N/A
Cetera Investment Services
Municipal Bonds
5.000%
4.253%
02/09/2023
08/15/2024
270,000.00
268,795.80
279,454.50
(10,658.70)
9,454.50
N/A
Cetera Investment Services
Municipal Bonds
2.400%
2.908%
08/05/2022
08/15/2024
50,000.00
48,650.50
50,070.17
(1,419.67)
70.17
N/A
Cetera Investment Services
Municipal Bonds
2.402%
2.926%
08/05/2022
10/01/2024
125,000.00
121,232.50
124,674.19
(3,441.69)
(325.81)
N/A
Cetera Investment Services
Municipal Bonds
2.033%
4.794%
06/05/2023
10/01/2024
85,000.00
82,028.40
82,332.21
(303.81)
(2,667.79)
Make -Whole Call
Cetera Investment Services
Municipal Bonds
5.200%
4.710%
02/21/2023
11/01/2024
30,000.00
29,886.90
30,711.27
(824.37)
711.27
N/A
Cetera Investment Services
Municipal Bonds
4.000%
4.689%
05/19/2023
12/01/2024
50,000.00
49,080.50
50,428.33
(1,347.83)
428.33
N/A
Cetera Investment Services
Municipal Bonds
2.528%
1.918%
01/13/2020
12/01/2024
100,000.00
96,434.00
102,999.53
(6,565.53)
2,999.53
N/A
Cetera Investment Services
Municipal Bonds
1.319%
4.407%
09/26/2022
12/01/2024
50,000.00
47,532.00
47,238.35
293.65
(2,761.65)
N/A
Cetera Investment Services
Municipal Bonds
3.922%
3.429%
12/20/2018
12/01/2024
204,000.00
199,203.96
208,181.10
(8,977.14)
4,181.10
N/A
Cetera Investment Services
Municipal Bonds
3.375%
4.693%
06/05/2023
03/01/2025
260,000.00
252,246.80
256,618.05
(4,371.25)
(3,381.95)
Make -Whole Call
Cetera Investment Services
Municipal Bonds
2.092%
4.793%
08/04/2023
05/01/2025
190,000.00
180,190.30
182,543.32
(2,353.02)
(7,456.68)
NA
Cetera Investment Services
Municipal Bonds
4.415%
4.516%
02/21/2023
05/01/2025
60,000.00
59,094.00
59,907.79
(813.79)
(92.21)
N/A
Cetera Investment Services
Municipal Bonds
4.400%
3.221%
04/11/2019
07/01/2025
500,000.00
486,305.00
539,101.11
(52,796.11)
39,101.11
07/01/2024
Cetera Investment Services
Municipal Bonds
0.824%
4.678%
01/09/2023
08/01/2025
100,000.00
92,053.00
91,160.64
892.36
(8,839.36)
N/A
Cetera Investment Services
Municipal Bonds
5.640%
3.007%
04/18/2019
08/15/2025
205,000.00
184,442.60
169,737.95
14,704.65
(35,262.05)
N/A
Cetera Investment Services
Municipal Bonds
3.743%
2.740%
04/18/2019
09/15/2025
215,000.00
208,663.95
228,334.53
(19,670.58)
13,334.53
N/A
Cetera Investment Services
Municipal Bonds
3.379%
1.934%
08/19/2019
10/01/2025
310,000.00
295,411.40
339,739.18
(44,327.78)
29,739.18
N/A
Cetera Investment Services
Municipal Bonds
2.727%
2.271%
03/03/2022
12/01/2025
335,000.00
311,188.20
342,781.72
(31,593.52)
7,781.72
N/A
Cetera Investment Services
Municipal Bonds
5.600%
1.186%
07/28/2020
12/01/2025
45,000.00
45,192.15
55,250.55
(10,058.40)
10,250.55
N/A
Cetera Investment Services
Municipal Bonds
4.250%
3.258%
04/11/2019
01/01/2026
500,000.00
483,885.00
529,769.03
(45,884.03)
29,769.03
N/A
Cetera Investment Services
Municipal Bonds
2.420%
1.175%
10/06/2020
03/01/2026
100,000.00
92,435.00
106,734.28
(14,299.28)
6,734.28
N/A
Cetera Investment Services
Municipal Bonds
1.609%
1.124%
09/24/2020
04/01/2026
285,000.00
259,652.10
292,370.10
(32,718.00)
7,370.10
N/A
Cetera Investment Services
Municipal Bonds
6.690%
3.356%
04/18/2019
04/15/2026
60,000.00
51,447.00
47,545.20
3,901.80
(12,454.80)
N/A
Cetera Investment Services
Municipal Bonds
5.900%
1.451%
07/28/2020
06/15/2026
75,000.00
75,974.25
93,741.75
(17,767.50)
18,741.75
N/A
Cetera Investment Services
Municipal Bonds
0.000%
1.415%
08/13/2020
07/01/2026
100,000.00
84,966.00
92,037.00
(7,071.00)
(7,963.00)
N/A
Cetera Investment Services
Municipal Bonds
3.250%
2.903%
04/18/2019
08/01/2026
500,000.00
470,140.00
514,790.69
(44,650.69)
14,790.69
N/A
Cetera Investment Services
Municipal Bonds
2.116%
3.307%
06/07/2022
08/01/2026
75,000.00
68,821.50
71,565.00
(2,743.50)
(3,435.00)
N/A
Cetera Investment Services
Municipal Bonds
2.150%
2.203%
07/01/2019
12/01/2026
40,000.00
36,748.40
40,150.64
(3,402.24)
150.64
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
1.664%
1.150%
08/27/2020
09/01/2026
225,000.00
201,262.50
231,696.00
(30,433.50)
6,696.00
N/A
Cetera
Investment Services
Municipal Bonds
2.375%
1.816%
09/04/2019
12/01/2026
90,000.00
82,395.90
93,395.70
(10,999.80)
3,395.70
N/A
Cetera
Investment Services
Municipal Bonds
2.350%
2.191 %
07/01/2019
12/01/2026
500,000.00
458,765.00
505,385.00
(46,620.00)
5,385.00
N/A
Cetera
Investment Services
Municipal Bonds
3.000%
1.991%
08/19/2019
02/01/2027
50,000.00
46,696.50
53,551.00
(6,854.50)
3,551.00
N/A
Cetera
Investment Services
Municipal Bonds
3.150%
2.034%
08/1 9/201 9
03/15/2027
100'000.00
93,429.00
109,138.50
(15,709.50)
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
471,970.00
507,783.94
(35,813.94)
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
53,702.00
60,986.48
(7,284.48)
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
51:889.20
60:468.04
(8,578.84)
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
135,609.80
160,827.31
(25,217.51)
15,827.31
N/A
Cetera
Investment Services
Municipal Bonds
1.925%
1.719%
11/23/2021
06/01/2027
310,000.00
273,100.70
313,447.46
(40,346.76)
3,447.46
Make -Whole Call
Cetera
Investment Services
Municipal Bonds
1.861%
1.254%
06/07/2021
07/01/2027
410,000.00
362,099.70
412,336.71
(50,237.01)
2:336.71
N/A
Cetera
Investment Services
Municipal Bonds
3.000%
3.101%
05/18/2020
09/01/2027
65,000.00
61,550.45
69,180.58
(7,630.13)
4,180.58
09/01/2025
Cetera
Investment Services
Municipal Bonds
2.817%
2.817%
09/25/2019
10/01/2027
35,000.00
28,312.20
27,969.55
342.65
(7,030.45)
05/01/2025
Cetera
Investment Services
Municipal Bonds
1.415%
1.793%
11/23/2021
03/01/2028
100,000.00
86,061.00
98,088.31
(12,027.31)
(1,911.69)
N/A
Cetera
Investment Services
Municipal Bonds
3.270%
2.141%
08/19/2019
03/15/2028
155:000.00
143,171.95
170,805.09
(27,633.14)
15:805.09
09/15/2027
Cetera
Investment Services
Municipal Bonds
2.974%
2.574%
11/07/2019
04/01/2028
75,000.00
68,290.50
77,253.00
(8,962.50)
2,253.00
N/A
Cetera
Investment Services
Municipal Bonds
2.125%
1.904%
11/23/2021
06/01/2028
110,000.00
94,771.60
111,525.06
(16,753.46)
1,525.06
N/A
Cetera
Investment Services
Municipal Bonds
2.547%
1.240%
08/10/2021
07/01/2028
125:000.00
111:915.00
136,101.16
(24,186.16)
11,101.16
N/A
Cetera
Investment Services
Municipal Bonds
3.140%
2.004%
08/1 9/201 9
08/01/2028
500,000.00
455,780.00
547,105.00
(91,325.00)
47,105.00
08/01/2027
Cetera
Investment Services
Municipal Bonds
3.000%
2.199%
05/19/2020
08/15/2028
90,000.00
84,570.30
95,401.80
(10,831.50)
5,401.80
08/15/2025
Cetera
Investment Services
Municipal Bonds
1.692%
1.813%
11/24/2021
10/01/2028
180,000.00
151,774.20
179,188.74
(27,414.54)
(811.26)
N/A
Cetera
Investment Services
Municipal Bonds
3.000%
1.942%
08/19/2019
06/01/2029
115:000.00
103,486.20
125,961.80
(22,475.60)
10,961.80
N/A
Cetera
Investment Services
Municipal Bonds
4.000%
3.214%
03/22/2021
09/01/2031
60,000.00
56,191.20
64,292.00
(8,100.80)
4,292.00
09/01/2024
Cetera
Investment Services
Municipal Bonds
3.500%
2.699%
11/23/2021
02/01/2033
50:000.00
46,519.50
54,390.44
(7,870.94)
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
70,359.75
79:860.31
(9,500.56)
4:860.31
02/01/2025
Cetera
Investment Services
Municipal Bonds
3.125%
2.303%
11/23/2021
10/01/2034
50,000.00
45,323.50
54,773.69
(9,450.19)
4:773.69
04/01/2027
Cetera
Investment Services
Municipal Bonds
3.125%
2.456%
11/23/2021
02/01/2035
50:000.00
44:114.00
54:236.11
(10,122.11)
4,236.11
02/01/2026
Broker Total
50.4%
9,899,000.00
9,299,478.35
10,201,089.51
(936,795.15)
302,089.51
TOTAL INVESTMENTS
100.0%
$ 19,352,000.00 $
18,453,183.44 $
19,654,770.95
$ (1,357,806.36) $
302,770.95
ELECTRIC DIVISION
Operating Revenue
September 2023
CLASS
AMOUNT
KWH
/KWH
Street Lights
$21.69
398
$0.05450
Electric Residential Service
$467,518.11
4,349,811
$0.10748
All Electric Residential Service
$14,245.31
118,620
$0.12009
Electric Small General Service
$152,347.17
1,492,068
$0.10210
Electric Large General Service
$613,340.17
6,750,110
$0.09086
Electric Large Industrial Service
$647,881.54
7,923,000
$0.08177
Total
$1,895,353.99
20,634,007
$0.09186
Power Adjustment $0.00000
Rate Without Power Adjustment $0.09186
Electric Division Year -to -Date
M2023 $A--t 02022 $A--t ■2023 KWH110 02022 KWH110
30,000,000
25,000,000
20,000,000
15,000,000
10,000,000
5,000,000
0
Street Lights Residential All Elec. Small Gen. Large Gen. Large For Resale Total
Resid. Srv. Srv. Industrial
NOTE: Sales for resale includes capacity sales and energy for resale
NATURAL GAS DIVISION
Operating Revenue
SEPTEMBER 2023
CLASS
AMOUNT
MCF
/$ MCF
Residential
$135,978.41
6,173
$22.02793
Commercial
$106,369.46
8,058
$13.20048
Large Industrial
$9,579.35
977
$9.80486
Large Industrial Contracts
$225,448.30
34,620
$6.51208
Total
$477,375.52
49,828
$9.58047
Fuel Adjustment $0.00000
Rate Without Fuel Adjustment $9.58047
Natural Gas Division Year -to -Date
® 2023 $ Amount 0 2022 $ Amount ■ 2023 MCF 13 2022 MCF
12,000,000
10,000,000
8,000,000
6,000,000
4,000,000
2,000,000
0
Gas Residential Gas Commercial Large Industrial Large Industrial Total
Contracts
Monthly Report -
Hutchinson Utilities
Commission
Year
Hutchinson Utilities
Commission
Minimum duration Substation
2023 v ----- v
Month Maximum duration Circuit
IEEE 1366 Statistics
Metric
Sep 2023
Sep 2022
SAI DI
0.054
1.952
SAI FI
0.00134
0.0149
CAI DI
40.8
131
ASAI
99.9998%
99.9953%
Momentary Interruptions
0
0
Sustained Interruptions
2
1
Circuit Ranking - Worst Performing
Ranked by Outage Count
Circuit Substation
Fdr#31 3M Substation
Fdr#21 Plant 2
Ranked by Customer Interruptions
Circuit Substation
Fdr#21 Plant 2
Number of Outages
1
1
Customer Interruptions
8
Circuit Substation Customer Interruptions
Fdr#31 3M Substation
Ranked by Customer Minutes of Duration
Circuit Substation Customer Minutes of Duration
Fdr#21 Plant 2 360
Fdr#31 3M Substation 48
Historical Monthly SAIDI Chart
2.5
2.0
1.5
1.0
0.5
0.0
Oct Nov Dec Jan Feb Mar Apr May Jun Jul Aug Sep
2022 2022 2022 2023 2023 2023 2023 2023 2023 2023 2023 2023
Historical Monthly SAIFI Chart
0.12
0.10
0.08
0.06
0.04
0.02
0.00
Oct Nov Dec Jan Feb Mar Apr
2022 2022 2022 2023 2023 2023 2023
May Jun Jul Aug Sep
2023 2023 2023 2023 2023
SAIDI
of monthly SAIDI values
SAIFI
of monthly SAIFI values
Causes Ranked by Count
Cause
Underground
Non -Utility Excavation
Causes Ranked by Duration
Count
Cause Duration
Non -Utility Excavation 360
Underground 48
Top 2 Outages for the Month
Address Customers Interrupted Duration Customer Minutes of Interruption Start Date
1130 5th Ave SE 8 45 360 09/29/2023
Fair Ave
Total Customers Affected for the Month:
Average Customers Affected per Outage:
24 48
09/25/2023
10
Electric Production
Work
Total
Total
Order DesK[!ption
Materials Labor
Budgeted
Actual
Difference
12203 Plant 2 Air Dryer
-
$
29,705.92
$ 29,705.92
12204 Cooling Tower Repairs
T
$
-
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
$
225,000.00
168,644.98
$ (56,355.02)
12302 Plant 2 Power Gates
60,000.00
$
60,000.00
2,137.50
$ (57,862.50)
12303 Plant 1 Tuck Pointing
140,000.00
$
140,000.00
166,687.67
$ 26,687.67
12304 SWOIS Computer Upgrade U5
400,000.00
$
400,000.00
$ (400,000.00)
12305 Plant 1 Side Stream Filter
30,000.00
$
30,000.00
$ (30,000.00)
12306 Cooling Tower Drain Valves Plant 1
80,000.00
$
80,000.00
$ (80,000.00)
12307 Cooling Tower Recirculation
120,000.00
$
120,000.00
$ (120,000.00)
12308 Unit 1 Repairs
- -
$
_-
$
$
___
$ 1,055,000.00 $
$
1,055 000.00
$ 752,393.54
Electric Distribution
Work
Total
Total
Order
Descri #ion
p
Materials
Labor
Bu ete
Actual
Difference
22203
Plant 1 Sub SCADA Relays
217,059.33
$
217,059.33
22204
3M Sub SCADA
-
-
107,214.59
$
107,214.59
22213
EV Charging Station Transformer
-
-
12,872.12
$
12,872.12
22301
Hutch Sub Transformer Upgrade Engineering
200,000.00
200,000.00
41,507.50
$
(158,492.50)
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
26,128.45
$
(56,871.55)
22307
Feeder 16 Reconductor
42,000.00
75,000.00
117,000.00
88,899.28
$
(28,100.72)
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
60,833.35
$
833.35
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
3,087.91
$
(58,912.09)
22312
Transformer New Development
60,000.00
60,000.00
2,790.57
$
(57,209.43)
22313
Meters
36,000.00
36,000.00
29,328.74
$
(6,671.26)
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
9,690.67
200,309.33
$ 842,000.00 $ 198,000.00 $ 1,040,000.00 $ 603,940.31 $ (436,059.69)
Administrative
Total
Total
Work Order
Description
Budgeted
Actual
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
57,004.36
(57,004.36)
52205
Replace 948
84,000.00
84,000.00
52206
Paint Booth
28,727.52
(28,727.52)
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
$ 275,556.85
$ (309,943.15)
Work
Order Description
62201 2 12" Valves, Vacuum Purging, Pigging Lat Lim
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
Bud eted
Actual
Difference
-
-
258,612.93
258,612.93
875,000.00
3,000.00
878,000.00
30,303.93
(847,696.07)
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
6,708.24
(23,791.76)
27,500.00
3,000.00
30,500.00
-
(30,500.00)
50,000.00
10,000.00
60,000.00
2,130.33
(57,869.67)
15,000.00
3,000.00
18,000.00
6,530.82
(11,469.18)
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
44,742.30
(27,257.70)
165,000.00
4,000.00
169,000.00
33,014.62
(135,985.38)
9,000.00
-
9,000.00
4,546.30
(4,453.70)
25,000.00
3,500.00
28,500.00
29,097.90
597.90
50,000.00
3,000.00
53 000.00
-
(53,000.00)
$ 3,338,500.00
$ 66,500.00
$ 3,405,000.00
$ 415,687.37
$ (2,989,312.63)
,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. Natural Gas Service Requirements & Charges
ii. Temporary Service — Natural Gas
iii. Natural Gas Meter Requirements & Placement
iv. Meter Testing — Natural Gas
v. Natural Gas Service Work
vi. Locating Customer's Underground Utilities — Natural Gas
BOARD ACTION REQUESTED:
None
Fiscal Impact:
Included in current budget: ; BudgetChange:
PROJECTSECTION:
Total Project Cost: Remaining Cost:
Natural Gas Service Requirements and Charges
HUC shall not install any facilities until all affected properties are within 6 inches of final
grade.
HUC shall furnish and install the underground natural gas service line. The service line to
the meter shall remain the property of HUC.
Type/Size
Fee
Single-family residential - 3/4" IPS
$300 — up to 150 ft. plus
$2.00/ft. in excess of 150 ft.
Multi-family/Commercial/Industrial - 3/4" IPS
$750 — up to 100 ft. plus
$5.00/ft. in excess of 100 ft.
Multi-family/Commercial/Industrial — 2" IPS
$1500 — up to 100 ft. plus
$5.00/ft. in excess of 100 ft.
Industrial — 4" IPS and larger
Time and Material Expense
Service line length is defined as "distance from customer's property line to metering
facilities", or in the instance the distribution main is located in rear easement, "distribution
main to metering facilities".
No structure or building may be located over natural gas lines or metering facilities. In
the event that a structure or building is determined to be located over natural gas facilities,
the natural gas facility must be relocated to a mutually agreed upon location. The
customer shall be responsible for all costs associated with the relocation.
No service line valve or any portion of the natural gas metering facilities may be buried.
The customer shall be responsible for all costs incurred in raising all facilities.
Hutchinson Utilities Commission shall begin installing excess flow valves, as of April 14,
2017, on all newly installed and replacement service lines serving the following types of
services before the line is activated:
A single service line to one single-family residence;
A branched service line to a single-family residence installed concurrently
with the primary single-family residence service line (i.e., a single EFV
may be installed to protect both service lines);
A branched service line to a single-family residence installed off a
previously installed single-family residence service line that does not
contain an EFV;
• Multifamily residences with known customer loads not exceeding 1,000
SCFH per service, at time of service installation based on installed meter
capacity, and
• A single, small commercial customer served by a single service line with a
known customer load not exceeding 1,000 SCFH, at the time of meter
installation, based on installed meter capacity.
Hutchinson Utilities shall install either a manual service line shut-off valve or, if possible,
based on sound engineering analysis and availability, an excess flow valve for any new
or replaced service line with installed meter capacity exceeding 1,000 SCFH.
All new natural gas consumer -owned fuel lines, downstream of the metering facilities,
must be pressure tested, prior to the gas meter being set. The test must be verified by
an approved inspector.
Installation of Natural Gas Service Lines — November 1 through March 31
Final determination on installation of natural gas service lines shall be made by HUC.
Temporary Service
HUC does not offer temporary natural gas service.
Natural Gas Meter Requirements and Placement
HUC shall furnish and install the natural gas meter at no charge to the customer.
HUC reserves the right to specify the natural gas meter location on all installations.
All meters must be located on an external wall of the building, at a horizontal distance of
no less than 3 feet from fresh air intakes, windows or door openings. New construction
natural gas meters must be located within 10 feet of the electric meter if HUC is providing
both services.
Access to all natural gas meters shall not be obstructed.
Natural gas meters shall be located in ventilated spaces readily accessible for
examination, reading, replacement or necessary maintenance. Decks, porches, etc. shall
not be constructed over a natural gas meter.
Natural gas meters shall not be located where they will be subject to damage, such as
adjacent to a driveway or other locations subject to vehicular traffic, in public passages,
where they will be subject to excessive corrosion or vibration or in areas subject to ice
and snow damage.
Natural gas meters shall not be installed directly beneath external stairways.
Natural gas meters shall not be located where they will be subjected to extreme
temperatures or sudden extreme temperature changes (e.g., air ducts, dryer vents).
Manufacturer's installation specifications shall be adhered to when installing fresh air
intake and exhaust terminations near natural gas metering facilities.
Natural gas regulators shall be located - no less than 3 feet from any source of ignition or
any source of heat that may damage the facilities.
HUC requires a minimum of a 3-foot clear zone in front of the natural gas meter.
Reasonable care must be taken to protect all metering facilities when remodeling, roofing,
painting, etc. In the event of damage to the natural gas facilities, the customer shall be
responsible for the cost of repairing or replacing the natural gas facilities.
Conditions may exist which may require additional restrictions or distances (e.g. multiple
meters, etc.). Please contact HUC if you should have any questions regarding your
natural gas metering facilities.
Modifications made to the customer's metering facilities, necessitated by customer
changes, shall be performed by HUC, at the customer's expense.
All natural gas service lines retired due to building demolition, overbuilding, etc. shall be
M
retired at the customer's expense. HUC Natural Gas Division performs all retirement
work on natural gas facilities. Estimate is provided by HUC Natural Gas Division when
requested.
All exceptions require the approval of HUC prior to the start of construction. If
violations or deviations are determined, the customer shall be responsible for the
cost of the correction.
Single Family Dwellings
HUC shall provide natural gas to residential customers at the standard delivery pressure
of 7 inches of water column, measured at the inlet to the natural gas meter.
All residential natural gas metering facilities shall be located on the side of the home within
6 feet of the front building wall. Front building wall is defined as the wall nearest the street
of the resident's living space.
Multi -Family Dwellings/Multiple Business Establishments
Delivery pressures greater than 7 inches of water column, for multi -family and multiple
business establishments, shall only be allowed by the prior approval of HUC. The
customer must provide adequate over -pressure protection for all fuel lines subject to
increased delivery pressure.
The single metering of multiple -family dwellings, apartment buildings or multiple business
establishments within a single building is permitted to the extent that each building is
centrally heated. Individual metering is required for all individually heated, single-family
private residences and each separately heated, owned and/or operated business.
Please contact HUC for specifications regarding meter facilities.
Commercial/Industrial Facilities
Delivery pressures greater than 7 inches of water column, for commercial and industrial
applications, shall only be allowed by the prior approval of HUC. The customer must
provide adequate over -pressure protection for all fuel lines subject to increased delivery
pressure.
Please contact HUC for specifications regarding meter facilities.
Meter Testing
HUC shall periodically test all natural gas meters for accuracy and sound mechanical
condition. Meters that have an average incest accuracy of 100, ± 2%, shall be considered
accurate. Average accuracy is defined as the average of the open and check flow
accuracies.
Accounts for which the natural gas meter tests in excess of 102% are subject to a refund.
This refund shall be based on the "as found average meter accuracy" and the customer's
consumption for the previous six month period.
Upon request of the customer, HUC shall test the average accuracy of the natural gas
meter. A $40 trip charge may be assessed to all accounts in which the "as found average
meter accuracy" is determined to be 102% or less.
Natural Gas Service Work
HUC personnel shall perform leak investigation and carbon monoxide testing at no charge
to the customer. HUC does not perform service work on customer owned facilities.
7
Locating Customer's Underground Utilities
HUC shall locate all natural gas underground distribution and transmission facilities up to
the meter at no charge to the customer or landowner.
HUTCHINSON UTILITIES COMMISSION��`
Board Action Form
�r�turscti
mmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmm
Agenda Item: Approval of Requisition 009714, 2024 Ford F-550 Cab & Chassis
Presenter: John Webster
Agenda Item Type:
Time Requested (Minutes): 3
New Business
Attachments:
Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
Hutchinson Utilities is requesting approval to purchase a 2024 Ford F-550 Cab &
Chassis from Holt Motors to replace the 2003 Ford dump truck.
Bids were received from:
Holt Motors - Total Price of $59,926.40
Wolf Motor Company - Total Price of $63,575.74
Hutchinson Utilities has budgeted $74,000 for this vehicle.
The dump body will be ordered once Hutchinson Utilities has confirmation of a build date
for the cab & chassis.
BOARD ACTION REQUESTED:
Approval of Requisition 009714.
Fiscal Impact: $59,926.40
Included in current budget: Budget Change: No
Yes
PROJECT SECTION:
Total Project Cost: $74,000 Remaining Cost: $14,000
HUTCHINSON
UTILITIES
HOLT MOTORS INC
PO BOX 910
COKATO, MN 55321
Note:
Description:
PURCHASE REQUISITION
HUTCHINSON UTILITIES COMMISSION
225 MICHIGAN ST SE
HUTCHINSON, MN 55350
Phone:320-587-4746 Fax:320-587-4721
Date Requisition No.
10/20/2023 009714
Required by:
Requested by: JWebster
Item
No. Part No. i Description Qty Unit Due Date Unit Price Ext. Amount
2024 F550 CHASSIS CAB PER ATTACHED
1 QUOTE - 1.00 EA 10/19/2024 $59,926.400 $59,926.40
MFG. PART:
Total: 59,926.40
Date Printed: 10/20/2023 Requisitioned By: JWebster Page: 1/1
H Oay'r19;,N1 ➢;U92'Y
i"Vi a
W M E N
OWNED
MOTORS
Raw
7,OMC UY: TRF RI24'M I'( VK'IL,' 6PGA ,,A0,4 I N(I - 'Afrl I Y"11
To Whom it may concern. Hutch Utility
This is the estimate for a 2024 F550
Chassis
Cab order
Order Details
and pricing
F550 4X4 CHASSIS CAB DRW/145
$56750
145 INCH WHEELBASE
$0
TOTAL BASE VEHICLE
$56750
OXFORD WHITE
$0
CLOTH 40/20/40 SEAT
$100
MEDIUM DARK SLATE
$0
PREFERRED EQUIPMENT PKG.660A
$0
XL TRIM
$0
.AIR CONDITIONING -- CFC FREE
$0
AM/FM STEREO MP3/CLK
$0
.7.3L DEVCT NA PFI V8 ENGINE
$0
10-SPEED AUTO TORQSHIFT
$0
225/70RI9.5G BSW MAX TRAC TIRE
$215
4.88 RATIO LIMITED SLIP
$395
FORD FLEET SPECIAL ADJUSTMENT
$0
FRONT LICENSE BRACKET
$0
PLATFORM RUNNING BOARDS
$320
19000# GVWR PACKAGE
$0
ENGINE BLOCK HEATER
$100
SKID PLATES
$100
50 STATE EMISSIONS
$0
WHEEL WELL LINERS
$180
40 GAL AFT OF AXLE FUEL TNK
$0
350 AMP ALTERNATOR
$0
PAYLOAD PACKAGE UPGRADE
$815
DUAL BATTERY
$210
REAR VIEW CAMERA & PREP KIT
$415
DESTINATION & DELIVERY
$1,995
TOTAL BASE AND OPTIONS
$61,595
Government DISCOUNTS
$-5,851
Selling Price
$55,744
Tax
$3,832.40
Doc and Registration Fee
$350
Total Price
$59,926.40
This vehicle was priced at the Fleet and Government price Range. This price
will not be accepted if the Fleet authorization is not approved. Price is the final
out the door price as long as Fleet pricing stays the same and is approved. This
price for the Chassis Cab only does not include any upfitting add ons.
�'!45 We!M Cokaki St, Co Ito, Il µ allies,,, 32(k286 2176 - Servicc 20 286-217 Il �Daii1s320-286 217'8 hoffinciWi,mv in
n
New Repeat ReferralWOLF MOTOR COMPANY °
PURCHASER® CA
NAME l PURL SER
S E _ NAME
ADDRESS SIRE
CITY, STATE ADDRESS
ZIP cry, STA°fE
zip
COUNTY
COUNTY
DR LIC
sB. DR LiC#
b®0®EMAIL ADDRESS
PHONE (H) , EMAIL ADDRESS
PHONE (H)
URMAnoN
LENDER
ADDR,SS
Alit "0f1 ;AGENCY
COMPANY
SALESP RSON' k
PRICE
CUSTOMER REBATE � ^
TRADE
ACCYS.
SUBTOTAL e:
679
TAX 5-6
LIC FEES •
PAYOFF:
U TCT"A a
L.
TOTAL CASH '
BALANCgTo FINANCE
..
PiJR A R( ) SjGNATURE
ACCT#
SECOND
BY
POLICY #�
PHONE # ..
CITY, ISTATE & j1p
INCENTIVE QUOTED
Rebate S
APR
Other
1 give T'T-Olf Motor Comp2my Inc, the A
ntact me In
9/22/23,4:30 PM
Preview Order X111 - FSH 4x4 Reg Chas Cab DRW.- order SummarV Time of Preview: 09/2212023 16:30:23 Receipt: NA
Dealership Name. Wolf Motor Co., Inc.
Dealer Rep. SCOTTSMITH
Twe
Retail -'�Vehicle Line Superduty
Customer Name X XXXXX
Pdorlty Code 19 Model Year 2024
DESCRIPTION
MSRP
INVOICE DESCRIPTION
F550 4X4 CHASSIS CAB DRW/145
$56750
$53913 PLATFORM RUNNING BOARDS
145 INCH WHEELBASE
$0
$0 19000# GVWR PACKAGE
OXFORD WHITE
$0
$0 ENGINE BLOCK HEATER
CLOTH 40120/40 SEAT
$100
$91 50 STATE EMISSIONS
MEDIUM DARK SLATE
so
$0 40 GAL AFT OF AXLE FUEL TNK
PREFERRED EQUIPMENT PKG.660A
$0
$0 410 AMP ALTERNATOR
.XL TRI
XLTRIM
$0
$0 EXTRA HEAVY SERVICE SUSPENSION
AIR CONDITIONING — CFC FREE
$0
$0 PAYLOAD PACKAGE UPGRADE
,AM/FM STEREO MP3/CLK
$0
$0 DUAL BATTERY
.7-31. DEVCT NA PFI V8 ENGINE
$0
$0 REAR VIEW CAMERA & PREP KIT
10-SPEED AUTO TORQSHIFT
so
$0 FUEL CHARGE
225/70RI956 BSW` MAX TRAC TIRE
$215
$195 PRICED DORA 41
4.98 RATIO LIMITED SLIP AXLE
$395
$360 ADVERTISING ASSESSMENT
CV LOT MANAGEMENT
$0
$10 DESTINATION & DELIVERY
Customer Name:
Customer Address:
Customer Email:
Customer Phone:
Sales code - F5g595
Order Cc e X111
J,,Price a 420
$o
$o
$100
$91
$0
$o
$o
$0
$115
$104
$125
$114
$815
$741
$210
$191
$415
$377
$0
$143.20
$0
$0
$0
$60
$1995
$1995
MSRP INVOICE
$61555 $58676.20
1 NA NA
$61555 $58676.20
Customer Signature Date
INs order has not been submitted to the order bank
This is not an invoice.
aboutblank ill
HUTCHINSON UTILITIES COMMISSION��`
Board Action Form
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mmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmm
Agenda Item: Natural Gas Commodiity Agreement - United Farmers Cooperative
Presenter: John Webster
Agenda Item Type:
Time Requested (Minutes): 1
New Business
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
United Farmers Coop (UFC) wishes to contract with Hutchinson Utilities for the
purchase of long-term firm natural gas commodity to be delivered to the Brownton
Interconnect Station (Hwy 212).
Initial term of agreement to be Ten (10) years.
Commodity Charge: (NNG Ventura Daily Index + $0.06) + 3.25%
BOARD ACTION REQUESTED:
Approval of Natural Gas Commodity Agreement
Fiscal Impact: $1,500 per year
Included in current budget: Yes Budget Change: No
PROJECT SECTION:
Total Project Cost: Remaining Cost:
BERTE BER 28, 2023
ir, F//, P'
J
UNITED FARMERS PER TI
JOHN WEBSTER
HUTCHINSON UTILITIES
225 MICHIGAN ST. SE
HUTCHINSON, MN 55350
,NATURAL-0AS; COMMODM AGREEMENT
THIS COMMODITY AGREEMENT ("AGREEMENT") IS MADE AND
ENTERED INTO ON THIS DAY OF OCTOBER, `2023, TO BE EFFECTIVE AS
OF THE 1 ST DAY OF NOVEMBER, 2023, BY AND BETWEEN UNITED FARMERS
COOPERATIVE ("UFC") WITH OFFICES. LOCATED AT 705 E. 4TH'STREET, PO
BOX 461 , WINTHROP, MINNESOTA,. 55396 AND HUTCHINSON UTILITIES
COMMISSION ("HUTCHINSON") A MINNESOTA MUNICIPAL UTILITY LOCATED AT
225 MICHIGAN ST..SE, HUTCHINSON, MINNESOTA, .55350. UFC AND
HUTCHINSON SHALL HEREINAFTER SOMETIMES BE REFERRED TO SEPARATELY
AS "PARTY" OR JOINTLY AS "PARTIES."
WI`T'NESSETH'
WHEREAS, UFC DESIRES TO PURCHASE, AND HUTCHINSON WOULD
PROVIDE, FIRM NATURAL GAS FOR USE AT UFC`S BROWNTON,PLANT,
DELIVERED TO THE BROWNTON INTERCONNECT STATION; AND,
WHEREAS„ UFC DOES ACKNOWLEDGE THAT HUTCHINSON WILL, IN
RELIANCE UPON THIS AGREEMENT, ENTER INTO AN AGREEMENT TO PROVIDE
FIRM. NATURAL GAS AND TRANSPORTATION TO THE BROWN'TON
INTERCONNECT STATION..
NOW, THEREFORE, IN CONSIDERATION OF THE FOREGOING AND FOR
OTHER GOOD AND VALUABLE CONSIDERATION, THE RECEIPT OF WHICH IS
HEREBY ACKNOWLEDGED, THE PARTIES MAKE THE FOLLOWING AGREEMENT:
WHEREAS; HUTCHINSON SHALL PROVIDE, AND UFC SHALL ACCEPT, FIRM
NATURAL. GAS COMMENCING NOVEMBER 1., 2023, AT 9:00 &M. AND
TERMINATING .ON NOVEMBER 1, 2033, .AT 9:00 A.M.
1. UFC .SHALL PAY HUTCHINSON BY THE FOLLOWING SCHEDULE
DURING THE TERM OF THIS AGREEMENT: (ALL RATES EXPRESSED AS
$/DTH.)
COMMODITY- (DAILY INDEX PLUS $0.06) PLUS 3.25%
DAILY INDEX - INDEX AS PUBLISHED FOR THE DAY BY PLATT'S
"GAS DAILY" IN ITS "DAILY PRICE SURVEY ($/DTH)" FOR
"NORTHERN, VENTURA "MIDPOINT" (".DAILY INDEX").
TRANSPORTATION w REFER TO .CHARGES SPECIFIED IN
NATURAL GAS FIRM TRANSPORTATION
CAPACITY AGREEMENT
2. HUTCHINSON AGREES TO PROVIDE DAILY SWING SUPPLY TO UFC AT
THE APPLICABLE PRICE, AS PUBLISHED FOR THE DAY.BY PLATT'S: "GAS
DAILY" IN ITS "DAILY PRICE SURVEY ($/DTH)" FOR ":NORTHERN.,
VENTURA." "MIDPOINT" ("DAILY INDEX") PLUS/MINUS $0.01 . SWING
SUPPLY IS DEFINED AS SUPPLY CONSUMED BY UFC WITH NO PRIOR
NOMINATION.
3. DURING THE TERM OF THIS AGREEMENT, HUTCHINSON SHALL NOT BE.
LIABLE FOR STOPPAGE OF FLOW ON THE PIPELINE, NORTHERN
BORDER PIPELINE COMPANY EQUIPMENT FAILURE, OR ANY OTHER
FORCE MAJEURE WHICH AFFECTS THE FLOWOF GAS TO THE
BROWNTON METER STATION, OR ANY FORCE MAJ:EURE WHICH
INTERRUPTS FLOW OF GAS ON THE PIPELINE.
2
4. THIS AGREEMENT SETS FORTH ALL TERMS AGREED UPON BETWEEN
THE PARTIES, AND:NO PRIOR ORAL OR WRITTEN AGREEMENTS SHALL
BE BINDING. THIS AGREEMENT SHALL NOT BE ALTERED,, AMENDED OR
MODIFIED EXCEPT AS IN WRITING AND EXECUTED BY BOTH PARTIES.
5. HUTCHINSON WILL PROVIDE THE COMMODITY BILL TO UFC OR ITS
AGENT BY THE TWENTIETH DAY OF THE MONTH FOLLOWING THE
MONTH IN WHICH SERVICE IS RENDERED BY HUTCHINSON.
6. PAYMENT. PAYMENT IS DUE FROM UFC ON 'OR BEFORE THE,
FIFTEENTH DAY FOLLOWING THE DATE THE BILL IS ISSUED BY
HUTCHINSON. A LATE PAYMENT CHARGE OF ONE AND ONE-HALF
PERCENT PER MONTH, OR THE LEGALLY AUTHORIZED MAXIMUM
INTEREST RATE, WHICHEVER IS LOWER, SHALL BE LEVIED ON ANY
UNPAID BALANCES:
7. IN'THE EVENT THAT UFC DOES NOT PAY ITS COMMODITY INVOICE
WITHIN THE TIMEFRAME SPECIFIED. [N THIS AGREEMENT, HUTCHINSON
SHALL HAVE THE RIGHT TO IMMEDIATELY TERMINATE SE"RVI.CE TO
UFC.
8, IT IS UNDERSTOOD BY UFC THAT IT IS ECONOMICALLY FEASIBLE. TO
ENTER INTO THIS AGREEMENT TO PROVIDE. NATURAL GAS TO UFC ONLY
DUE TO THE FACT THAT HUTCHINSON IS AN UNREGULATED MUNICIPAL
UTILITY. WAT ANY TIME ANY OF THE ACTIVITIES COVERED UNDER THIS
AGREEMENT BECOME SUBJECT TO REGULATION BY THE PUBLIC
UTILITIES COMMISSION OF THE STATE OF MINNESOTA OR ANY OTHER
STATE OR.FEDERAL AGENCYWHICH WOULD NOT CURRENTLY CONTROL
THE ACTIVITIES, OF HUTCHINSON UNDER THIS AGREEMENT,
HUTCHINSON SHALL .HAVE THE OPTION, AT ITS SOLE DISCRETION, TO
PASS ALL COSTS INCURRED, DUE TO HUTCHINSON'S REGULATION, TO
UFC FOR THE LENGTH OF THIS AGREEMENT.
iK
IN WITNESS WHEREOF, UFC AND HUTCHINSON HAVE EXECUTED THIS
AGREEMENT IN TWO (2) DUPLICATE ORIGINALS, EFFECTIVE AS OF THE DATE FIRST
WRITTENABOVE.
HUTCHINSON UTILITIES COMMISSION
BY:
UNITED FARMERS COOPERATIVE
BY:
• �C vl NAME.�,�„„„ ... ,.,.,.�,. NAME'' .... _ � �......_�.�.,.�..�_.,.mm.
TITLE: _ „COMMISSION PRESIDENT _........ TITLE:f'�mml G
DATE: DATE:
WITNESS.
DATE'
WITNESS:
DATE:
WITNESS:
DATE:
4
HUTCHINSON UTILITIES COMMISSION��`
Board Action Form
�r�turscti
mmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmm
Agenda Item: Natural Gas Firm Transportation Capacity Agreement - United Farmers Coop
Presenter: John Webster
Agenda Item Type:
Time Requested (Minutes): 1
New Business
Attachments: Yes
BACKGROUND/EXPLANATION OFAGENDA ITEM:
United Farmers Coop (UFC) wishes to contract with Hutchinson Utilities for the provision
of long-term firm natural gas transportation capacity by Hutchinson Utilities to UFC.
Initial term of agreement to be Ten (10) years.
Transportation Capacity: 1,000 Dth/day
October - November
Reservation Charge: $0.20/Dth of MDQ/Day
December
Transportation Charge: $0.54/Total Dth's Transported/Month
January - September
Transportation Charge: $0.54/Total Dth's Transported/Month
Hutchinson Utilities will transport UFC's natural gas from the Trimont, MN receipt point to
the Brownton Interconnect Station (Hwy 212), delivery point.
BOARD ACTION REQUESTED:
Approval of Natural Gas Firm Transportation Capacity Agreement
Fiscal Impact: $16,000 per year
Included in current budget: Yes Budget Change: No
PROJECT SECTION:
Total Project Cost: Remaining Cost:
SEPTEMBEER 28, 2023
NATURAL CAS FIRM
TRANSPORTATION CAPACITY
AGREEMENT
UNITED FARMERS COOPERATIVE
JOHN WEBSTER
HUTCHINSON UTILITIES
225'MICHIGAN ST SE
HUTCHINSON,. MN 55350
NATURAL GAS FIRM TRANSPORTATION
CAPACITY AGREEMENT
THIS NATURAL GAS FIRM TRANSPORTATION CAPACITY
AGREEMENT (`AGREEMENT") IS MADE AND ENTERED INTO ON THIS DAY OF
OCTOBER, 2023, TO BE EFFECTIVE AS OF THE 1 ST DAY OF NOVEMBER, 20,23, BY
.AND BETWEEN UNITED FARMERS COOPERATIVE ("UFC") WITH OFFICES LOCATED
AT 705 E. 4T" STREET, PO BOX 461 , WINTHROP,. MINNESOTA, 55396 AND
HUTCHINSON UTILITIES COMMISSION CHUTCHINSON") A MINNESOTA MUNICIPAL
UTILITY LOCATED AT 225 MICHIGAN ST. SE, HUTCHINSON, MINNESOTA, 55350.
UFC AND HUTCHINSON SHALL HEREINAFTER SOMETIMES .BE REFERRED TO
SEPARATELY AS "PARTY" OR JOINTLY AS `PARTIES."
WITN ESSETH:
WHEREAS., UFC DESIRES TO CONTRACT WITH HUTCHINSON FOR THE
PROVISION OF LONG-TERM FIRM TRANSPORTATION CAPACITY BY HUTCHINSON TO
UFC
WHEREAS, HUTCHINSON HAS THE CAPABILITY TO PROVIDE UFC WITH
LONG TERM FIRM TRANSPORTATION .CAPACITY;
NOW THEREFORE, IN CONSIDERATION OF THE PREMISES AND MUTUAL
COVENANTS AND CONDITIONS. CONTAINED IN THIS AGREEMENT, HUTCHINSON
AND UFC AGREE AS FOLLOWS.
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER 29,.2023
1. CHARA, _ ., R_ OF SERVICE.
A.I. OCTOBER THROUGH NOV MBER.
FIRM NATURAL GAS TRANSPORTATION SERVICE
HUTCHINSON SHALL PROVIDE TO UFC FIRM NATURAL GAS
TRANSPORTATION CAPACITY IN THE AMOUNT OF 1,000 DTH
PER DAY FOR THE OPERATING MONTHS OF OCTOBER AND
NOVEMBER., COMMENCINGON THE 1. ST DAY OF NOVEMBER,
2023, AND CONTINUING FOR AN INITIAL PERIOD OF 1.0 YEARS,
THROUGH THE LAST DAY OF OCTOBER, 2033, UNDER THE
RATES, TERMS AND CONDITIONS SET FORTH IN THIS
AGREEMENT. THIS SERVICE SHALL ALWAYS BE AVAILABLE TO
UFC UNLESS CURTAILED OR INTERRUPTED PURSUANT TO THE
TERMS OF THIS AGREEMENT. THIS SERVICE MAY NOT BE
CURTAILED OR INTERRUPTED EXCEPT PURSUANT TO THE TERMS
OF THIS AGREEMENT,
A.II. DECEMBER
FIRM NATURAL GAS TRANSPORTATION SERVICE
HUTCHINSON SHALL PROVIDE TO UFC VOLUMETRIC FIRM
NATURAL GAS'TRANSPORTATION, CAPACITY IN THE AMOUNT OF
1,000 DTH PER DAY FOR THE OPERATING MONTH OF
DECEMBER COMMENCING ON THE 1 ST DAY OF DECEMBER,
2023, AND CONTINUING FOR AN INITIAL PERIOD .OF 10 YEARS.,.
THROUGH THE LAST DAY OF DECEMBER 2032,.UNDER THE
RATES, TERMS AND CONDITIONS SET FORTH. IN THIS
AGREEMENT. THIS SERVICE SHALL ALWAYS BE AVAILABLE TO
UFC UNLESS CURTAILED OR INTERRUPTED PURSUANT TO THE
TERMS OF THIS AGREEMENT. THIS SERVICE MAY NOT BE
CURTAILED OR INTERRUPTED EXCEPT PURSUANT TO THE TERMS
OF THIS AGREEMENT.
A.I II. JANUARY THROUGH SEPTEMBER
FIRM NATURAL GAS TRANSPORTATION SERVICE -
HUTCHINSON SHALL PROVIDE TO UFC VOLUMETRIC FIRM
NATURAL GAS TRANSPORTATION CAPACITY IN THE.AMOUNT OF
1,000 DTH PER DAY FOR THE OPERATING MONTHS OF
JANUARY THROUGH SEPTEMBER, COMMENCING ON THE 1 ST
DAY'OF JANUARY, 2024, AND CONTINUING FOR AN INITIAL
UNITED FARMER. SCOOP CAPACITY AGREEMENT
SEPTEMBER 29, 20'23 2
PERIOD OF 1 O'YEARS, THROUGH THE LAST DAY OF SEPTEMB.ER,
2033, •UNDER THE RATES, TERMS AND CONDITIONS SET FORTH.
IN THIS AGREEMENT. THIS SERVICE SHALL ALWAYS BE
AVAILABLE TO UFC UNLESS CURTAILED OR INTERRUPTED
PURSUANT TO THE TERMS OF THIS AGREEMENT. THIS SERVICE
MAY NOT BE CURTAILED OR `INTERRUPTED EXCEPT PURSUANT
TO THE TERMS OF THIS AGREEMENT..
B. OBLIGATION:TO.PROVIDE NATURAL GAS SUPPLY
HUTCHINSON SHALL BE OBLIGATED TO PROVIDE; .AND UFC
SHALL BE OBLIGATED TO PURCHASE, ALL GAS SUPPLIES TO
UFC FOR THE LENGTH OF THE COMMODITY.4GREEMENTAS
FURTHER SPECIFIED IN THE "COMMODITY AGREEMENT
C. SOLEOBLIGATIONTO PROVIDE FIRM TRANSPORTATION
CAPACITY - HUTCHINSO.N'S SOLE OBLIGATION UNDER THIS.
AGREEMENT IS TO PROVIDE FIRM CAPACITY TO UFC OVER
WHICH UFC MAY TRANSPORT NATURAL GAS SUPPLIES
PURCHASED FROM HUTCHINSON OR AN INDEPENDENT 3RD
PARTY SUPPLIER.
2. AVAILABILITY AND CONDITIONS,..
A. GENERALLY - FIRM TRANSPORTATION SERVICE UNDER THIS
AGREEMENT SHALL BE AVAILABLE TO UFC UNDER THE TERMS
AND CONDITIONS OF THIS. AGREEMENT. SUCH CAPACITY; UP
TO THE MAXIMUM DAILY QUANTITY OF 1,000 DTH/DAY, SHALL.,
ALWAYS BE AVAILABLE TO UFC UNLESS SUCH CAPACITY IS
CURTAILED OR INTERRU.PTED PURSUANT TO THE TERMS OF THIS
AGREEMENT. THIS SERVICE MAY NOT BE CURTAILED OR
INTERRUPTED EXCEPT PURSUANT TO THE TERMS OF THIS
AGREEMENT.
S. NATURAL GAS STANDARDS - GAS' SUPPLIES TRANSPORTED. BY
UFC UNDER THE TERMS OF THIS AGREEMENT SHALL MEET THE
STANDARDS' REASONABLY SPECIFIED BY HUTCHINSON FROM
TIME TO TIME. THE GAS SUPPLY STANDARDS SHALL BE
IDENTICAL TO THE STANDARDS IMPOSED ON HUTCHINSON BY
ITS INTERSTATE NATURAL GAS PIPELINE TRANSPORTER,,
NORTHERN BORDER PIPELINE COMPANY.
C. METERING - METERING SHALL BE PROVIDED. IN ACCORDANCE
UNITED FARMERS COOP CAPACITY AGREEMENT
.SEPTEMBER 29.'2023 3
WITH THEHUTCHINSON - UFC INTERCONNECT AGREEMENT.
D. CONTACT PERSONS
1. UFC SHALL SUPPLY TO HUTCHINSON THE NAME,
BUSINESS ADDRESS, A PRIMARY:AND SECONDARY
CONTACT PERSON, TELEPHONE NUMBERS FOR
THE PRIMARY AND SECONDARY CONTACT .PERSON,
AND A.TWENTY FOUR-HOUR EMERGENCY
TELEPHONE NUMBER.
2. HUTCHINSON SHALL SUPPLY TO UFC THE NAME,
BUSINESS. ADDRESS, A PRIMARY AND SECONDARY
CONTACT PERSON, TELEPHONE NUMBERS FOR
THE PRIMARY AND SECONDARY CONTACT PERSON,
AND A TWENTY FOUR-HOUR EMERGENCY
TELEPHONE NUMBER.
E. COMPLIANCE WITH AGREEMENT SERVICE UNDER THIS
AGREEMENT
SHALL NOT COMMENCEUNTIL BOTH PARTIES HAVE
FULLY EXECUTED THIS AGREEMENT AND COMPLIED WITH ALL
RELEVANT REQUIREMENTS CONTAINED HEREIN.
F. DELIVERY POINTS - ATTACHMENT "A" TO THIS AGREEMENT
SETS FORTH THE DELIVERY POINT(S) FOR DELIVERY OF
NATURAL GAS FROM HUTCHINSON TO UFC.
G. CONTRACT CHANGES - HUTCHINSON HAS THE RIGHT TO
-_�
MODIFYTHIS AGREEMENT DUE TO CHANGES IMPOSED BY 3Ro.
PARTY ENTITIES.
3. TERM.
THE INITIAL TERM FOR SERVICE UNDER THIS AGREEMENT IS TEN (1 O)
YEARS. UFC MUST NOTIFY HUTCHINSON IN WRITING ONE (1) YEAR
PRIOR TO THE EXPIRATION OF THE TERM 1F UFC DESIRES TO
CONTINUE SERVICE UNDER THIS AGREEMENT. IF UFC HAS COMPLIED
WITH ALL TERMS: OF THIS AGREEMENT, AND HAS NO OUTSTANDING
ARREARAG.ES, UFC MAY, UPON'WRITTEN NOTICE PROVIDED TO
HUTCHINSON ONE (9) YEAR PRIOR:TO THE EXPIRATION OFTHE.
CURRENT TERM, EXTEND THIS AGREEMENT FOR A MUTUALLY AGREED -
UPON PERIOD. IF A TERM FOR THE EXTENSION CANNOT BE AGREED
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER 29, 2023 4
UPON BY UFC AND HUTCHINSON, THE PARTIES AGREE TO A MINIMUM
TERM OF (2) TWO YEARS. IF SUCH TIMELY NOTICE IS NOT PROVIDED
BY UFC, HUTCHINSON IS NOT OBLIGATED TO RENEW.SERVICE FOR.
UFC. REPRESENTATIVES OF HUTCHINSON AND UFC SHALL.MEET
APPROXIMATELY TWO (2) YEARS PRIOR TO THE EXPIRATION DATE OF
THE INITIAL TERM OF THIS AGREEMENT TO DISCUSS FUTURE
OPERATIONS.
4. RATES.
A. RATES FOR .SERVICE - THE FOLLOWING CHARGES SHALL APPLY TO
THE FIRM TRANSPORTATION CAPACITY TO BE PROVIDED TO UFC BY
HUTCHINSON:
A.C. OCTOBER THROUGH NOVEMBER
RESERVATION CHARGE,,
.$0.20,/DTH OF MOQ/DAY
TRANSPORTATION CHARGE.
$0.00-/DTH
A.11. D'ECEMBER,
RESERVATION CHARGE,
$0.00/DTH OF MDQ/DAY
TRANSPORTATION CHARGE
$0.54,/DTH, TOTAL CONSUMPTION EACH .MONTH
A.M. J U THROUGH SEPTEMBER
,RESERVATION CHARGE,
$0.00 DTH OF .MDQ/DAY
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER 29.2023 55
TRANSPORTATION CHARGE.,
$0.-54/DTH, TOTAL CONSUMPTION EACH MONTH
HUTCHINSON UTILITIES SHALL RESERVE THE RIGHT TO REVIEW AND
MODIFY THE RESERVATION AND TRANSPORTATION CHARGES .IN THIS
AGREEMENT IN SEPTEMBER 2028., EFFECTIVE .00TOBER 2028, AS
NECESSARY.
B. THIRD PARTY CHARGES.
UFC IS RESPONSIBLE FOR ALL CHARGES IMPOSED BY A
SUPPLIER, BROKER, MARKETER, OR ANY OTHER THIRD PARTY
FOR ANY SERVICE THAT IS PROVIDED TO, OR ON BEHALF OF,
UFC BY ANY OF THESE ENTITIES. THESE CHARGES INCLUDE,
BUT ARE NOT LIMITED TO, COST OF GAS, RESERVATION
CHARGES, ADMINISTRATIVE FEES, BILLING. FEES., MINIMUM TAKE
CHARGES,. AND.ANY AND ALL OTHER TYPES OF CHARGES FROM
ANY SUCH ENTITY.
C. PENALTIES.
SHOULD UFC, OR ITS DESIGNEE, DESIRE TO NOMINATE., OR FLOWS,
VOLUMES FOR TRANSPORTATION IN EXCESS. OF ITS TOTAL MDQ
CONTRACTED FOR, SUCH EXCESS VOLUMES WILL BE INTERRUPTIBLE
VOLUMES FOR NOMINATION AND SCHEDULING PURPOSES AND SHALL
BE BILLED AT FIVE (5) TIMES THE FIRM TRANSPORTATION, OR
RESERVATION, RATE, IN AFFECT AT THE TIME.
UFC SHALL PAY ANY FINES, ADDITIONAL AMOUNTS, OR
PENALTIES IMPOSED UNDER THE TERMS OF THIS AGREEMENT.
S. BILUNG AND PAYMENT.
A. BILLING - RESERVATION. INVOICE WILL BE RENDERED TO UFC
OR ITS AGENT BY THE FIFTEENTH DAY OF THE :MONTH
PRECEDING THE MONTH IN WHICH SERVICE IS. RENDERED BY
HUTCHINSON. REMAINING BILLS WILL BE RENDERED TO UFC
OR ITS AGENT BY THE FIFTEENTH DAY OF THE MONTH
FOLLOWING THE MONTH IN WHICH SERVICE IS RENDERED BY
HUTCHINSON.
UNITED FARMERS COOP CAFiACrIY AGREEMENT
SEPTEMBER 29, 202S 6
B. PAYMENT - PAYMENT IS DUE FROM UFC ON OR BEFORE THE.
FIFTEENTH DAY FOLLOWING THE. DATE THE BILL IS ISSUED BY
HUTCHINSON. A LATE PAYMENT CHARGE OF ONE AND ONE-HALF
PERCENT PER MONTH, OR THE LEGALLY AUTHORIZED MAXIMUM
INTEREST RATE, WHICHEVER IS LOWER, SHALL BE LEVIED ON ANY
UNPAID BALANCES.
C. PIPELINE SUPPLIER AND THIRD-PARTYwCHARwGES -ANY
CHARGES WHICH HUTCHINSON REASONABLY INCURS ON
BEHALF OF UFC FROM ANY PIPELINE, SUPPLIER, OR OTHER
THIRD PARTY, SHALL BE PASSED THROUGH TO, AND PAID IN
FULL BY, UFC. HUTCHINSON SHALL.PROVIDE TO UFC IN
WRITING, FULL DETAILS CONCERNING .ANY SUCH .CHARGES.
D, GOOD FAITH DISPUTE. - IF UFC, IN GOOD FAITH, DISPUTES THE
AMOUNT OF ANY INVOICE RENDERED BY HUTCHINSON, OR ANY
PART THEREOF, UFC SHALL PAY THE FULL AMOUNT OF THE
INVOICE. HUTCHINSON SHALL PROMPTLY PROVIDE IN WRITING
TO UFC SUPPORTING DOCUMENTATION ACCEPTABLE IN
INDUSTRY PRACTICE TO SUPPORTTHEAMOUNT INVOICED, -AND
UFC SHALL PROMPTLY PROVIDE TO HUTCHINSON IN WRITING
THE BASIS FOR ANY DISPUTE, INCLUDING SUPPORTING
DOCUMENTATION ACCEPTABLE IN INDUSTRY PRACTICE. IN THE
EVENT THE PARTIES ARE UNABLE TO RESOLVE :SUCH DISPUTE,
EITHER PARTY MAY PURSUE ANY REMEDY AVAILABLE AT LAW OR
IN EQUITY TO ENFORCE ITS RIGHTS PURSUANT TO THIS
PROVISION.
E. RIGHT TO: INSPECT,- A PARTY SHALL HAVE THE RIGHT, AT ITS
OWN EXPENSE, UPON REASONABLE NOTICE AND AT
REASONABLE TIMES, TO EXAMINE AND AUDIT AND TO OBTAIN
COPIES OF THE RELEVANT PORTION OF THE BOOKS, RECORDS,
AND TELEPHONE RECORDINGS OF THE OTHER PARTY ONLY -TO
THE EXTENT REASONABLY NECESSARY TO VERIFY THE
ACCURACY OF ANY STATEMENT, CHARGE, PAYMENT, OR
COMPUTATION MADE UNDER THIS AGREEMENT. THIS RIGHT TO
EXAMINE, AUDIT, AND TO OBTAIN COPIES SHALL NOT BE
AVAILABLE WITH RESPECT TO PROPRIETARY INFORMATION NOT
DIRECTLY RELEVANT TO TRANSACTIONS UNDER THIS
AGREEMENT.
F. FINAEITY - ALL INVOICES AND BILLINGS SHALL BE
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBEK29. 2023 7
CONCLUSIVELY PRESUMED FINAL AND ACCURATE AND ALL
ASSOCIATED CLAIMS FOR UNDER OR OVERPAYMENTS SHALL BE
DEEMED WAIVED UNLESS SUCH INVOICES OR BILLINGS ARE
OBJECTED TO, IN WRITING, WITH ADEQUATE EXPLANATION
AND/OR DOCUMENTATION, WITHIN TWO YEARS AFTER THE
INITIAL BILLING DATE FOR THE INVOICE OR BILL.. IN DISPUTE.
6. CONDITIONS OF S RIB ,VICE.
FIRM CAPACITY REQUIREMENT - HUTCHINSON HEREBY
CERTIFIES THAT IT HAS SUFFICIENT FIRM TRANSPORTATION
CAPACITY TO PROVIDE THE AMOUNT OF FIRM TRANSPORTATION
SERVICE TO UFC PURSUANT TO THE TERMS OF THIS
AGREEMENTFOR THE TERM OF THIS AGREEMENT,.
7. OPERATIONAL M UIREMENTS,.
A. METERING -UNLESS OTHERWISE AGREED TO IN WRITING BY
HUTCHINSON AND UFC, AUTOMATIC TELEMETERING
EQUIPMENT IS REQUIRED. UFC SHALL PROVIDE TELEPHONE,
COMPUTER, AND OTHER INTERFACES, AS WELL AS ELECTRIC
CONNECTIONS TO THE METER, AS AGREED TO BETWEEN
HUTCHINSON AND UFC IN THE INTERCONNECT AGREEMENT,
_._
B. RESPONSIBILITY FORTRANSPORTING GAS SUPPLIES
HUTCHINSON SHALL HAVE THE SOLE RESPONSIBILITY FOR
TRANSPORTING NATURAL GAS SUPPLIES TO THE DELIVERY
PO.INT(S). UFC 'SHALL HAVE THE SOLE RESPONSIBILITY FOR
TRANSPORTING NATURAL GAS FROM THE DELIVERY POINT(S).
8. NOMINATIONS AND SCHEDULING.
A. FIRST OF THE MONTHNOMINATIONS- BY 7:00 A.M. CENTRAL
CLOCK..TIME ("C.C.T."), AT LEAST FIVE. (5) BUSINESS DAYS
PRIOR TO THE FIRST OF EACH MONTH UFC OR ITS DESIGNATED
AGENT SHALL PROVIDE HUTCHINSON A WRITTEN ESTIMATE OF
UFC'S DAILY FIRM TRANSPORTATION CAPACITY.REQUIREMENTS
AND TOTAL MONTHLY REQUIREMENT FOR TRANSPORTATION.
SERVICE UNDER THIS AGREEMENT. IF UFC HAS MORE THAN
ONE METER, SAID NOMINATIONS SHALL BE PROVIDED BY
METER. NOMINATIONS SHALL BE LIMITED TO THE METER OR
METERS SPECIFIED IN THIS AGREEMENT, AS MODIFIED BY
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER 29, 2023 s
FURTHER AGREEMENT OF THE PARTIES IN WRITING. ABSENT
AGREEMENT IN WRITING,. NOMINATIONS BY UFC .OR ITS
DESIGNATED AGENT MAY NOT EXCEED UFC'S ANNUAL
MAXIMUM DAILY QUANTITY ("MDQ").
B. DAILY NOMINATIONS - UFC OR ITS DESIGNATED AGENT SHALL
NOTIFY HUTCHINSON OF ANY REQUESTED CHANGE TO ITS
NOMINATION, IN WRITING, BY 8:00 A.M. C.C.T AT LEAST ONE
(1) BUSINESS DAY PRIOR TO THE DATE OF THE REQUESTED
CHANGE. HUTCHINSON SHALL GRANT.SUCH REQUESTS IN ITS
REASONABLE DISCRETION. ABSENT AGREEMENT IN WRITING,
NOMINATIONS BY UFC OR ITS DESIGNATED AGENT MAY NOT
EXCEED UFC'S ANNUAL MDQ.
C. CHANGES To NOMINATIONS RESULTING FROM CURTAILMENT
OR INTERRUPTION - IF A CURTAILMENT OR INTERRUPTION IS
CALLED UNDER THE
TERMS AND CONDITIONS OF THIS
AGREEMENT, HUTCHINSON SHALL NOTIFY UFC OR ITS
DESIGNATED AGENT AS -SOON AS REASONABLY POSSIBLE AND
AS NECESSARY TO MAINTAIN THE INTEGRITY OF THE SYSTEM, OF
THE RECEIPT AND DELIVERY CONDITIONS APPLICABLE TO
SERVICE UNDER THIS AGREEMENT. SUCH CONDITIONS SHALL
BECOME EFFECTIVE BEGINNING THE NEXT GAS DAY
COMMENCING.AT.9:00.A.M. C.C.T., OR AT SUCH EARLIER TIME
AS IS NECESSARY. UNDER THESE CONDITIONS, HUTCHINSON
SHALL HAVE THE RIGHT TO REQUIRE REDUCTIONS IN
PREVIOUSLY NOMINATED AMOUNTS UNDER THIS PROVISION,
CONSISTENT WITH OTHER PROVISIONS OF THIS AGREEMENT.
D. WAIVER - HUTCHINSON.1VMAY; 1N ITS SOLE DISCRETION AND ON
A NON-DISCRIMINATORY BASIS, WANE ANY OF THE NOMINATION
REQUIREMENTS SET.FORTH IN THIS SECTION IF HUTCHINSON
DETERMINES THAT IT CAN ACCOMMODATE SUCH NOMINATIONS.
E. LATE NOMINATION - IF HUTCHINSON HAS NOT WAIVED THE
NOMINATION ......_..........____.
REQUIREMENTS, HUTCHINSON MAY STILL, 1N ITS.
.SOLE DISCRETION AND ON A NON-DISCRIMINATORY BASIS,
CONFIRM A LATE NOMINATION.
F. MONTHLY BALANCING LIMITATION -UFC MAY INCUR A
CUMULATIVE MONTHLY POSITIVE OR NEGATIVE IMBALANCE OF
UP TO AND INCLUDING 20% OP UFC's MDQ. NO IMBALANCE
UNrPED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER 29..2023 9
CHARGES SHALL APPLY TO CUMULATIVE MONTHLY IMBALANCES
UP TO AND INCLUDING THIS 20% OF UFC'S MDQ.
9. PENALTY FOR UNAUTHORIZED TAKES DURING CURTAILMENT OR
INTERRUPTION.
PROVIDED THAT HUTCHINSON HAS COMPLIED WITH THE TERMS OF
THIS AGREEMENT WITH RESPECT TO SUCH CURTAILMENT OR
INTERRUPTION, IF UFC FAILS TO CURTAIL OR INTERRUPT ITS TAKES
WHEN DIRECTED TO DO SO BY HUTCHINSON UFC SHALL. BE BILLED
FOR ALL VOLUMES TAKEN IN EXCESS OF THE APPLICABLE LIMITATION
AT A RATE EQUAL TO THE DAILY CHICAGO INDEX PLUS $ l 0.00 PER
DTH. IN ADDITION, HUTCHINSON SHALL HAVE. THE RIGHT TO
DISCONNECT UFC'sl SUPPLY OF GAS IF UFC FAILS TO CURTAIL OR
INTERRUPT ITS USE OF GAS WHEN AND AS DIRECTED BY HUTCHINSON.
HUTCH.INSON MUST RESTORE SUCH SERVICE AS SOON AS
PRACTICABLE FOLLOWING ANY SUCH DISCONNECTION.
10. Trrl„mLIABILiTX,,,,,,AND INSURANCE.
A. TITLE - GAS RECEIVED BY HUTCHINSON .ON BEHALF OF UFC
FOR DELIVERY TO UFC SHALL REMAIN THE PROPERTY OF UFC.
B. IAB[LITY`- HUTCHINSON SHALL NOT BE LIABLE TO UFC FOR
ANY LOSS OF GAS FOR ANY CAUSE OTHER THAN GROSS
NEGLIGENCE OR MISCONDUCT BY HUTCHINSON. OR ITS
EMPLOYEES. UFC'S GAS MAY BE COMMINGLED WITH OTHER
GAS SUPPLIES IN HUTCHINSON'S SYSTEM.
C. INSURANCE - UFC SHALL BE RESPONSIBLE FOR MAINTAINING
SUFFICIENT INSURANCE AS NECESSARY TO PROTECT ITS
PROPERTY AND OTHER INTERESTS IN THE GAS PRIOR TO,
DURING, AND AFTER ITS RECEIPT BY HUTCHINSON.
HUTCHINSON SHALL BE.RESPONSIBLE FOR MAINTAINING
SUFFICIENT INSURANCE AS NECESSARY TO PROTECT ITS
PROPERTY AND OTHER INTERESTS. IN PROVIDING
TRANSPORTATION SERVICE. UNDER THIS AGREEMENT TO UFC..
11. CURTAILMENT AND INTERRUPTION.
SERVICE UNDER THIS AGREEMENT MAY BE CURTAILED OR
INTERRUPTED AS NECESSARY DUE TO PHYSICAL, OPERATIONAL, OR
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER29; 2023 10
OTHER SIMILAR CONSTRAINTS ON HUTCHINSON'S SYSTEM. IF
HUTCHINSON IS 'REQUIRED TO CURTAIL OR INTERRUPT SERVICE DUE
TO CAPACITY CONSTRAINTS, FORCE MAJEURE EVENTS, SYSTEM
INTEGRITY, OR OTHER CONDITIONS, ANY INTERRUPTIBLE. SERVICES
PROVIDED TO OTHER. ENTITIES BY HUTCHINSON SHALL BE CURTAILED
COMPLETELY BEFORE FIRM SERVICES ARE CURTAILED., AND FIRM
TRANSPORTATION SERVICES UNDER THIS AGREEMENT:SHALL BE
CURTAILED ON A PRO RAITA BASIS WITH HUTCHINSON'S OTHER FIRM
SALES AND/OR TRANSPORTATION SERVICES.
12. FORCE MAJEURE.
A. DEFINITION - EITHER PARTY SHALL BE EXCUSED FROM
PERFORMANCE UNDER THIS AGREEMENT BY FORCE MAJEURE
ACTS AND EVENTS. "FORCE MAJEURE" SHALL MEAN ACTS
AND EVENTS NOT WIT14IN THE CONTROL OF THE PARTY
CLAIMING FORCE MAJEURE, AND. SHALL INCLUDE, BUT NOT BE
LIMITED TO, ACTS OF GOD, STRIKES, LOCKOUTS, MATERIAL,
EQUIPMENT; OR LABOR SHORTAGES, WARS, RIOTS,
INSURRECTIONS, EPIDEMICS., LANDSLIDES, EARTHQUAKES,.
FLOODS, FIRES, STORMS, GOVERNMENT OR COURT ORDERS,
CIVIL DISTURBANCES, EXPLOSIONS, BREAKAGE OR ACCIDENT
TO MACHINERY OR PIPELINES, FREEZING OF WELLS OR
PIPELINES, OR ANY OTHER CAUSE OF WHATEVER KIND,
WHETHER SPECIFICALLY ENUMERATED HEREIN OR NOT, THAT IS
NOT WITHIN THE CONTROL OF THE PARTY CLAIMING FORCE
MAJEURE.
B. EFFECT
IF HUTCHINSON IS UNABLE TO PROVIDE SERVICE
UNDER THIS AGREEMENT DUE TO A .FORCE
MAJEURE ACT OR EVENT, HUTCHINSON'S
OBLIGATION. TO PROVIDE SERVICE UNDER THIS
AGREEMENT SHALL BE SUSPENDED FOR THE
DURATION OF THE ACTOR EVENT. HUTCHINSON
SHALL NOTIFY UFC OF THE FORCE MAJEURE
EVENT AS SOON -AS REASONABLY POSSIBLE BY
ANY MEANS PRACTICABLE, INCLUDING, BUT NOT
LIMITED TO, TELEPHONE OR FACSIMILE, AND
SHALL CONFIRM THE DETAILS OF THE FORCE
MAJEURE ACT OR EVENT IN WRITING WITHIN A
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER:29, 2023 1 1
REASONABLEAMOUNT OF TIME THEREAFTER.
HUTCHINSON SHALL WORK TO REMEDY THE
FORCE MAJEURE ACT OR EVENT AS SOON AS
REASONABLY POSSIBLE AND SHALL KEEP UFC
APPRISED OF'THE TIME, DATE, AND
CIRCUMSTANCES WHEN SERVICE UNDER THIS
AGREEMENTSHALL.BE RESTORED. UFC IS NOT
REQUIRED TO PAY ANY CHARGES UNDER THIS
AGREEMENT DURING TH. 8 TERM OF THE FORCE
MAJEURE ACT OR EVENT.
2. IF UFC IS UNABLE TO TAKE SERVICE UNDER THIS
AGREEMENT DUE TO A FORCE MAJEURE ACT OR
EVENT, HUTCHINSOWS OBLIGATION TO PROVIDE
SERVICE UNDER THIS AGREEMENT SHALL BE
SUSPENDED FOR THE DURATION OF THE ACT OR
EVENT. UFC SHALL NOTIFY HUTCHINSON OF THE
FORCE.MAJEURE EVENT AS SOON AS
REASONABLY POSSIBLE BY ANY MEANS
PRACTICABLE, INCLUDING,, BUT NOT LIMITED TO,
TELEPHONE OR FACSIMILE, AND SHALL CONFIRM
THE DETAILS OF THE FORCE MAJEURE ACT OR
EVENT IN WRITING WITHIN A REASONABLE AMOUNT
OF TIME THEREAFTER. UFC SHALL WORK TO
REMEDY THE FORCE MAJEURE ACT OR EVENT AS
SOON AS REASONABLY POSSIBLE AND SHALL KEEP
HUTCHINSON APPRISED OF THE TIME, DATE, AND
CIRCUMSTANCES WHEN UFC WILL RESUME
SERVICE UNDER. THIS AGREEMENT. HUTCHINSON
IS NOT REQUIRED TO PROVIDE SERVICE UNDER
THIS AGREEMENT DURING THE TERM OF THE
FORCE MAJEURE ACT OR EVENT.
C. ffAT10NS -ON FOR�CgNIAJEURE ^ NEITHER PARTY SHALL BE
ENTITLED TO. THE BENEFIT OF THE PROVISIONS OF FORCE
MAJEURE TO THE EXTENT PERFORMANCE IS AFFECTED BY ANY
OR ALL OF THE FOLLOWING CIRCUMSTANCES: (1) THE
CURTAILMENT OF INTERRUPTIBLE OR SECONDARY FIRM
TRANSPORTATION UNLESS PRIMARY, IN -PATH, FIRM
TRANSPORTATION IS'ALSO CURTAILED: (II) THE PARTY CLAIMING
EXCUSE FAILED TO REMEDY THE CONDITION AND TO RESUME
THE PERFORMANCE OF SUCH COVENANTS OR OBLIGATIONS
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTENIBER 29, 2023 12
WITH REASONABLE DISPATCH; OR (1I1) ECONOMIC HARDSHIP OF
EITHER PARTY. NOTWITHSTANDING ANY OTHER PROVISION OF
THIS AGREEMENT, THE PARTY CLAIMING FORCE MAJEURE
:SHALL NOT BE EXCUSED FROM ITS RESPONSIBILITY.FOR
IMBALANCE CHARGES.
1.3. NOTICES.
A. ADDRESSES - ALL INVOICES, PAYMENTS AND OTHER
COMMUNICATIONS MADE PURSUANT TO THIS AGREEMENT
SHALL BE MADE TO THE ADDRESSES SPECIFIED IN WRITING BY
THE RESPECTIVE PARTIES FROM TIME TO TIME.
B. ACCEPTABLE FORMS- ALL NOTICES REQUIRED HEREUNDER
MAY BE.SENT B
M.__..
Y FACSIMILE OR MUTUALLY ACCEPTABLE
ELECTRONIC MEANS, A NATIONALLY RECOGNIZED OVERNIGHT
COURIER SERVICE, FIRST CLASS MAIL, OR HAND DELIVERED.
C. .DELIVERY DATE - IN THE ABSENCE OF PROOF OF THE ACTUAL
RECEIPT DATE FOR SUCH NOTICES, THE .FOLLOWING
PRESUMPTIONS WILL APPLY. NOTICES SENT BY FACSIMILE
SHALL BE DEEMED TO HAVE BEEN RECEIVED UPON THE
SENDING PARTY'S RECEIPT OF ITS FACSIMILE. MACHINE'S
CONFIRMATION OF SUCCESSFUL TRANSMISSION. IF THE DAY
ON WHICH SUCH FACSIMILE IS RECEIVED IS NOT A BUSINESS
DAY OR IS AFTER FIVE P.M. C.C.T., ON A BUSINESS DAY, THEN
SUCH FACSIMILE SHALL BE DEEMED TO HAVE BEEN. RECEIVED
ON THE NEXT FOLLOWING BUSINESS DAY. NOTICE BY
OVERNIGHT MAIL OR COURIER SHALL BE DEEMED TO HAVE
BEEN RECEIVED ON THE NEXT BUSINESS .DAY AFTER 1T WAS
SENT OR SUCH EARLIER TIME AS IS CONFIRMED BY THE
RECEIVING -PARTY. NOTICE. VIA FIRST CLASS MAIL SHALL BE
CONSIDERED DELIVERED FIVE BUSINESSDAYS AFTER MAILING,
14. LAWs., .REGULATIQBS ,F ND ORDR$.
A. SERVICE UNDER THIS AGREEMENT IS SUBJECT TO ALL
PRESENT AND FUTURE VALID LAWS, ORDERS, RULES,
REGULATIONS,, ETC, ISSUED BY ANY FEDERAL, STATE, OR
LOCAL AUTHORITY HAVING JURISDICTION OVER THE MATTERS
SET FORTH HEREIN.
UNITED .FARMERS. COOP CAPACRY AGREEMENT
SEPTEMBER 29, 2023 13
B. 1T IS UNDERSTOOD. BY UFC THAT IT IS ECONOMICALLY
FEASIBLE TO ENTER INTO THIS AGREEMENT TO .PROVIDE A
PIPELINE INTERCONNECT TO UFC ONLY DUE TO THE FACT
THAT HUTCHINSON IS AN UNREGULATED MUNICIPAL UTILITY.
IF AT ANY TIME ANY OF THE ACTIVITIES COVERED UNDER THIS
AGREEMENT BECOME. SUBJECT TO REGULATION BY THE
PUBLIC UTILITIES COMMISSION OF THE STATE OF MINNESOTA
OR ANY OTHER STATE OR FEDERAL AGENCY WHICH WOULD
NOT CURRENTLY CONTROL THE ACTIVITIES OF HUTCHINSON
UNDER THIS AGREEMENT, HUTCHINSON SHALL HAVE THE
OPTION, AT ITS SOLE DISCRETION TO. PASS ALL COSTS
'INCURRED, DUE TO HUTCHINSON'S REGULATION, TO UFC FOR
THE LENGTH OF THIS AGREEMENT.
15. MISCELLANEOUS PROVISIONS.
A. DECLARATION OF INVALIDITY - IF ANY PROVISION OF THIS
AGREEMENT IS DETERMINED TO BE INVALID, VOID, OR
UNENFORCEABLE BY ANY COURT OR OTHER ENTITY HAVING
JURISDICTION, SUCH DETERMINATION SHALL NOT INVALIDATE,
VOID; OR MAKE UNENFORCEABLE ANY OTHER PROVISION,
AGREEMENT OR COVENANT.Oi; THIS AGREEMENT, AND THE
PARTIES AGREE TO NEGOTIATE IN GOOD FAITH A REPLACEMENT
TO SUCH INVALID, VOID OR UNENFORCEABLE PROVISION
AND/OR ANY OTHER AMENDMENTS AS. MAY BE NECESSARY TO
ENSURE THAT THE AGREEMENT AS A WHOLE REFLECTS THE
ORIGINAL INTENTIONS:OF THE PARTIES..
B. NO CONTINUING WAIVER - NO WAIVER OF ANY BREACH OF
THIS AGREEMENT SHALL BE HELD TO BE A WAIVER OF ANY
OTHER OR SUBSEQUENT BREACH.
C. LIMITATION ON AGREEMENT - THE PARTIES. EXPRESSLY
ACKNOWLEDGE AND. AGREE THAT IT IS NEITHER THE PURPOSE
OF THIS AGREEMENT NOR THEIR INTENT TO CREATE A
PARTNERSHIP, JOINT VENTURE CONTRACT OR COMPANY,
ASSOCIATION OR TRUST, FIDUCIARY RELATIONSHIP OR
PARTNERSHIP BETWEEN THEM. EXCEPT AS EXPRESSLY
PROVIDED HEREIN, NEITHER PARTY SHALL HAVE ANY
AUTHORITY TO ACT FOR OR ASSUME ANY OBLIGATIONS, OR
RESPONSIBILITIES ON BEHALF OF., THE OTHER PARTY.
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER 29,.2023 14
D. COMPLETE AGREEMENT - THIS AGREEMENT SETS .FORTH ALL
UNDERSTANDINGS BETWEEN THE PARTIES AS OF THE
EFFECTIVE DATE HEREIN. ANY PRIOR CONTRACTS,
UNDERSTANDINGS AND REPRESENTATIONS, WHETHER ORAL OR
WRITTEN, RELATING TO THE MATTERS ADDRESSED IN THIS
AGREEMENT ARE MERGED INTO AND SUPERSEDED BY THIS
AGREEMENT. THIS AGREEMENT MAY BE AMENDED ONLY BY A
WRITING EXECUTED BY BOTH PARTIES.
E. GOVERNING LAW - THE INTERPRETATION AND PERFORMANCE
OF THIS AGREEMENT SHALL BE GOVERNED BYTHE.LAWS OF
MINNESOTA, EXCLUDING,. HOWEVER., ANY CONFLICT OF LAWS
RULE THAT WOULD APPLY THE LAW OF ANOTHER JURISDICTION.
.F. CONFIDENTIALITY Rrt UIRED -NEITHER PARTY SHALL
DISCLOSE DIRECTLY OR INDIRECTLY WITHOUT THE PRIOR
WRITTEN CONSENT OF THE OTHER PARTY THE TERMS OF THIS
AGREEMENT TO A THIRD PARTY EXCEPT (1) IN ORDER TO
COMPLY WITH ANY APPLICABLE LAW, LEGAL PROCESS, ORDER,
REGULATION, OR EXCHANGE RULE; (II) TO THE EXTENT
NECESSARY.FO.R THE ENFORCEMENT OF THIS AGREEMENT;
AND (III) TO THE EXTENT NECESSARY TO. IMPLEMENT AND
PERFORM THIS AGREEMENT. EACH PARTY SHALL NOTIFY THE
OTHER PARTY OF ANY DEMAND OR PROCEEDING OF WHICH IT IS
AWARE WHICH MAY RESULT .IN DISCLOSURE OF THE TERMS OF
THIS AGREEMENT (OTHER THAN AS PERMITTED HEREUNDER)
AND USE REASONABLE EFFORTS TO PREVENT OR LIMIT THE
DISCLOSURE. THE PARTIES SHALL BE ENTITLED TO ALL
REMEDIES AVAILABLE AT LAW OR IN EQUITY TO ENFORCE OR
SEEK RELIEF.IN CONNECTION WITH THIS. CONFIDENTIALITY
OBLIGATION. THE TERMS OF THIS AGREEMENT SHALL BE KEPT
CONFIDENTIAL BY THE PARTIES HERETO FOR TWO YEARS. FROM
THE EXPIRATION OR TERMINATION OFTHIS AGREEMENT.
IN THE EVENT THAT DISCLOSURE IS REQUIRED BY A
GOVERNMENTAL BODY OR APPLICABLE LAW, THE PARTY
SUBJECT TO SUCH REQUIREMENT MAY DISCLOSE THE MATERIAL
TERMS OF THIS :AGREEMENT TO THE EXTENT SO REQUIRED, BUT
SHALL PROMPTLY NOTIFY THE OTHER PARTY, PRIOR TO
DISCLOSURE, AND SHALL COOPERATE (CONSISTENT WITH THE
DISCLOSING PARTY'S .LEGAL OBLIGATIONS) WITH THE OTHER
PARTY'S EFFORTS TO OBTAIN PROTECTIVE ORDERS OR, SIMILAR
UNITEDFARMERS COOP CAPACRY AGREEMENT
SEPTEMBER 29, 2023- 15
RESTRAINTS WITH RESPECT TO SUCH DISCLOSURE AT THE
EXPENSE OF THE OTHER PARTY.
G. AUTHORITY TO ENTER AGREEMENT - EACH PARTY TO THIS
AGREEMENT REPRESENTS AND WARRANTS THAT IT HAS FULL
AND COMPLETE AUTHORITY TO ENTER INTO AND PERFORM THIS
AGREEMENT. EACH PERSON WHO EXECUTES THIS AGREEMENT
ON BEHALF OF EITHER PARTY REPRESENTS AND WARRANTS
THAT IT HAS FULL AND. COMPLETE AUTHORITY TO DO SO. AND
THAT SUCH PARTY WILL BE BOUND THEREBY.
H. No -THIRD -PARTY BENEFICIARY -THERE IS NO THIRD -PARTY
BENEFICIARY TO THIS AGREEMENT.
UNITED FARMERS -COOP CAPACITY AGREEMENT
SEPTEMBER 29, 2023 16
WHEREFORE, THE PARTIES HAVE EXECUTED THIS AGREEMENT THROUGH THEIR_
DULY AUTHORIZED REPRESENTATIVES EFFECTIVE AS OF THE DATE SPECIFIED
ABOVE.
HUTCHINSON UTILITIES COMMISSION UNITED FARMERS COOP JVE
BY: BY:
NAME:
TITLE: COMMISSION PRESIDENT
DATE:
WITNESS'
DATE:
WITNESS:
DATE:
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER 29.202S 17
NAME: /qfq A C ► llPf 0 4
TITLE
DATE: l 0 "!io A3
WITNESS:
DATE:
AND UNITED FARMERS. -COOPERATIVE
ATTACHMENT "A"
Dmtvt~Fty PQjNTs
UFC MAY RECEIVE GAS FROM HUTCHINSON AT THE FOLLOWING DELIVERY
POINTS:
51A11 N NAME
COUNTY CITY
BROWNTON INTERCONNECT STATION MCI EOD BROWNTON
(HIGHWAY 21 2)
UNITED FARMERS COOP CAPACITY AGREEMENT
SEPTEMBER 29. 2023 18
STATE
MINNESOTA
HUTCHINSON UTILITIES COMMISSION��`
Board Action Form
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mmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmmm
Agenda Item: Approve Audit Services
Presenter: Jared Martig
Agenda Item; Type:
Time Requested (Minutes): 2
New Business
Attachments: No
BACKGROUND/EXPLANATION OFAGENDA ITEM:
Audit services for fiscal year 2023 was quoted at $28,500 by Conway Deuth &
Schmiesing. Below is a history of audit fees.
2022: $26,000
2021: $24,850
2020. $24,750
2019: $24,750
2018: $24,750
2017: $23,200
2016: $22,750
2015. $22,525
2014: $21,950
2013: $21,950
2012: $21,500
2011: $21,250
BOARD ACTION REQUESTED:
Approve fiscal year 2023 audit services with Conway Deuth & Schmiesing
Fiscal Impact: $28,500
Included in current budget: Yes Budget Change: No
PROJECT SECTION:
Total Project Cost: Remaining Cost:
From:
Jared Martig
To:
Angie Radke
Subject:
Fwd: Audit Fees
Date:
Friday, October 20, 2023 10:01:32 AM
Attachments:
image004.png
image003.png
Sent from my iPhone
Begin forwarded message:
From: Justin McGraw <jmcgraw@cdscpa.com>
Date: October 19, 2023 at 9:36:40 AM CDT
To: Jared Martig <JMartig@hutchinsommn.gov>
Subject: RE: Audit Fees
EXTERNAL IEMAIL ALERT: This message originated from outside the City of
Hutchinson email system. Unless you recognize the sender and know the content,
DO NOT click links or open attachments.
Jared,
Good morning! We are looking at an audit fee this year of $28,500 for the
Commission. There's a variety of factors that are playing into the increase (GASB
87/96, increases in personnel and operating costs) and I'd be more than happy to
discuss them with you if you'd like, but if you are just looking for the fee right now,
$28,500 is what we are proposing.
Thanks,
>CPAS & VISO S<I--[endif]-->JUSTIN MCGRAW, CPA
PARTNER
I[Arect (320) 221-8016 1 imcc raw cdsr. alm
Visit us online at cds.cpa
Send me files securely via SafeSend
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From: Jared Martig <JMartig@hutchinsommn.gov>
Sent: Wednesday, October 18, 2023 1:25 PM
To: Justin McGraw <jmcgraw@cdscpa.com>
Subject: Audit Fees
Hi Justin, I left you a voicemail as well but I was wondering if you could get me a price
for the audit for 2023. 1 was hoping to get it into the Commission packet on Friday for
approval next week.
Thanks
Jared Martig
Financial Manager
Hutchinson Utilities Commission
Direct: 320-234-0512
Cell: 320-296-5651