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cp10-24-2000 cr i Ad" OCTOBER SUNDAY MONDAY TUESDAY 2000 -22- -23- -24- 7:00 a.m. — Leadership Team in HUTCHINSON Main Conference Room CITY 1:30 p.m. — Management Team at City Center Main Conference 4:00 p.m. — Budget Workshop in CALENDAR Room Main Conference Room 5:30 p.m. - City Council Meeting WEEK OF 4:30 p.m. — Library Board Meeting in Council Chambers at Library followed by October 22 -28 PUBLIC FORUM IN COUNCIL CHAMBERS WEDNESDAY THURSDAY FRIDAY SATURDAY -25- -26- -27- -28- CONFERENCE /SEMINAR/ 7:00 a.m. — EDA Board in City TRADUNG/VACATI_ON Center Main Conference Room 23 -27 Tom Moss (V) 3:00 p.m. — Utilities Commission 2427 Dolf Moon (C) at Utilities Office 2:00 p.m. — Open Bids at City Center for Logs/Cut Wood C =Conference M = Meeting S = Seminar T = Training V =Vacation AGENDA REGULAR MEETING - HUTCHINSON CITY COUNCIL TUESDAY. OCTOBER 24, 2000 9 '_. INVOCATION — Pastor Jim Devoraic, St. Anastasia Catholic Church 3. MINUTES — Regular Meeting of October 10, 2000 Action - Motion to approve as presented (a) REPORTS OF OFFICERS, BOARDS AND COMMISSIONS 1. PARKS, RECREATION & COMMUNITY EDUCATION ADVISORY BOARD MINUTES OF SEPTEMBER 7, 2000 2. PLANNING COMMISSION MINUTES OF SEPTEMBER 19, 2000 3. HUTCHINSON AREA HEALTH CARE BOARD MINUTES OF SEPTEMBER 19, 2000 4. PARKS, RECREATION & COMMUNITY EDUCATION ADVISORY BOARD MINUTES OF SEPTEMBER 7, 2000 (b) RESOLUTIONS AND ORDINANCES RESOLUTION NO. 11604 — RESOLUTION ESTABLISHING LOCATION FOR TRAFFIC CONTROL DEVICES RESOLUTION NO. 11608 —RESOLUTION REQUESTING THE STATE LEGISLATURE TO AUTHORIZE FEE INCREASE FOR DEPUTY REGISTRARS (c) PLANNING COMMISSION I. CONDITIONAL USE PERMIT FOR 18'x 40' ADDITION REQUESTED BY TRI- COUNTY WATER CONDITIONING INC. WITH FAVORABLE RECOMMENDATIONS AND WITHOUT FAVORABLE STAFF RECOMMENDATION (ADOPT RESOLUTION NO. 11609) 2. CONDITONAL USE PERMIT TO GRADE AND FILL IN FLOOD PLAIN OF SOUTH FORK OF CROW RIVER FOR CONSTRUCTION OF VETERAN'S MEMORIAL PARK REQUESTED BY CITY OF HUTCHINSON WITH FAVORABLE RECOMMENDATION WITH STAFF RECOMMENDATIONS (ADOPT RESOLUTION NO. 11607 3. VARIANCE TO REDUCE REQUIRED SETBACK FROM 10' TO 0' FOR EXPANSION OF PARKING LOT REQUESTED BY HILLYARD INC. WITH FAVORABLE RECOMMENDATIONS AND WITH STAFF RECOMMENDATION (ADOPT RESOLUTION NO. 11606) Action — Motion to approve consent agenda CITY COUNCIL AGENDA - OCTOBER 24, 2000 All ul ,I W.VTrkrylffis• COMMUNICATIONS, REQUESTS AND PETITIONS (a) UPDATE ON POST OFFICE PROJECT BY CITY ATTORNEY RICHARD SCHIEFFER AND HCDC/EDA DIRECTOR CHRISTIE ROCK Action - MINIS D BUSINESS - NONE ►I 10 1M (a) CONSIDERATION OF AIRPORT FARM LEASE WITH DAVID KIRKPATRICK Action — Motion to reject — Motion to approve and enter into agreement (b) CONSIDERATION OF JOB EVALUATION AND COMPENSATION PLAN Action — Motion to reject — Motion to approve (c) CONSIDERATION OF FINANCIAL REPORT FOR SEPTEMBER 2000 Action — Motion to reject — Motion to approve (d) CONSIDERATION OF REPORT ON CERTIFICATES OF DEPOSIT Action — Motion to reject — Motion to approve (e) CONSIDERATION OF REQUEST FROM HUTCHINSON AREA HEALTH CARE BOARD TO PURCHASE REPLACEMENT VEHICLES FOR THE HOSPITAL AND NURSING HOME Action — Motion to reject — Motion to approve (f) AUTHORIZATION AREA ARCHITECTS REGARDING LIQUOR HUTCH EXPANSION PROJECT Action — Motion to reject — Motion to approve (g) CONSIDERATION OF SETTING DATE FOR CANVASSING RESULTS FROM SPECIAL ELECTION TO BE HELD ON NOVEMBER 7, 2000 Action — Motion to reject — Motion to approve date of November 8, 2000 (h) CONSIDERATION OF RECOMMENDATION FROM FIRE DEPARTMENT COMMITTEE TO AWARD BIDS ON SHARED CITYIRURAL RESCUE VEHICLE AND PLATFORM VEHICLE Action — Motion to reject — Motion to approve CITY COUNCIL AGENDA — OCTOBER 24, 2000 (i) CONSIDERATION OF RESOLUTIONS IN SUPPORT OF CONFERENCE CENTER • CAPITAL CONTRIBUTION • OPERATING CONTRIBUTION Action — Motion to reject — Motion to approve and adopt Resolutions (j) CONSIDERATION OF ESTABLISHING DATE FOR CITY - SPONSORED LOCAL GOVERNMENT SURPLUS AUCTION Action — Motion to reject — Motion to approve date (k) CONSIDERATION OF CHANGE ORDER NO. 2 FOR COMPOST OFFICE Action — Motion to reject — Motion to approve change order (1) CONSIDERATION OF AUTHORIZATION TO TRANSFER MIGHTY DUCKS ARENA GRANT 2000 PAYMENT TO HUTCHINSON HOCKEY ASSOCIATION Action — Motion to reject — Motion to approve transfer (m) CONSIDERATION OF HIGHWAY 15 LUCE LINE TRAIL CROSSING Action — Motion to reject — Motion to authorize staff to study alternatives 9. MISCELLANEOUS (a) COMMUNICATIONS (a) VERIFIED CLAIMS A & B Action — Motion to approve and authorize payment from appropriate funds amn1 • ► 3 11 PUBLIC CHARTER COMIVIISSION FORUM REGARDING CHARTER AMENDMENTS Immediately Following City Council Meeting 0 Ll • MINUTES REGULAR MEETING - HUTCHINSON CITY COUNCIL TUESDAY, OCTOBER 10, 2000 Mayor Torgerson called the meeting to order at 5:30 p.m. with the following members present: Mayor Marlin Torgerson, Council Members Jim Haugen, John Mlinar, Kay Peterson and Duarte Hoversten. Also present: City Administrator Gary D. Plotz, Director of Engineering John Rodeberg, Finance Director Kenneth B. Merrill, and City Attorney Marc A. Sebora. • 0 2. In the absence of a pastor, there was no invocation. PRESENTATION OF APPRECIATION GIFT TO FORMER CITY COUNCIL MEMBER JEFF HAAG The Mayor presented Jeff Haag with a shadow box in appreciation for his service on the City Council. 3 The minutes of the regular meeting of September 26, 2000 were approved as presented. 4. CONSENT AGENDA (a) REPORTS OF OFFICERS, BOARDS AND COMMISSIONS 1. LIBRARY BOARD MINUTES OF SEPTEMBER 25, 2000 2. TREE BOARD MINUTES OF AUGUST 28, 2000 3. BUILDING REPORT FOR SEPTEMBER 2000 4. AIRPORT COMMISSION MINUTES OF AUGUST 28, 2000 AND SEPTEMBER 25, 2000 (b) RESOLUTIONS AND ORDINANCES 1. ORDINANCE NO. 00 -285 — AN ORDINANCE AMENDING SECTION 4.01 OF THE HUTCHINSON CITY CODE DELETING E.1306 SPECIAL FIRE PROTECTION SYSTEMS (SECOND READING AND ADOPT) 2. RESOLUTION NO. 11583 — RESOLUTION OF SUPPORT FOR SOUTH GRADE TRAIL 3. RESOLUTION NO. 11585 — RESOLUTION DESIGNATING THE LOCATION OF POLLING PLACE FOR ALL PRECINCTS AND APPOINTING JUDGES FOR THE 2000 FEDERAL GENERAL ELECTION AND SPECIAL CITY ELECTION 4. RESOLUTION NO. 11596 — RESOLUTION AUTHORIZING GRANT AGREEMENT WITH DEPARTMENT OF NATURAL RESOURCES 5. RESOLUTION NO. 11597 — RESOLUTION AUTHORIZING A TAX RATE INCREASE FOR THE 2000 TAX LEVY, COLLECTIBLE IN 2001 6. RESOLUTION NO. 11598 — RESOLUTION PROCLAIMING THE WEEK OF OCTOBER 16-22,2000 AS MINNESOTA MANUFACTURERS WEEK CITY COUNCIL MINUTES — OCTOBER 10, 2000 • RESOLUTION NO. 11584 — RESOLUTION CERTIFYNG ASSESSMENTS OF THE CITY OF HUTCHNSON TO THE COUNTY OF MCLEOD RESOLUTION NO. 11599 — RESOLUTION REJECTING IMPROVEMENT. LETTING NO. 5, PROJECT NO. 00-07,00-08. 00 -09, 00 -10 (c) DANCE PERMIT FOR JOSE A. PALACIOS ON NOVEMBER I 1 & 25, 2000 (d) TRANSIENT MERCHANT PERMIT FOR T.A.P. ENTERPRISES INC. ON NOVEMBER 1, 2000 (e) APPOINTMENTS TO BOARDS /COMMISSIONS: AIRPORT COMMISSION — CHARLES "CHUCK" BRILL (FIRST TERM) PARKS,/RECREATION/ COMMUNITY EDUCATION ADVISORY BOARD TODD ERTSGAARD (SECOND TERM) DEBBIE KOGLN (SECOND TERM) BRUCE PETERSON (FIRST TERM) (f) APPROVAL OF ECONOMIC DEVELOPMENT LOAN TO ALLIED • MECHANICAL SYSTEMS Motion by Peterson, second by Hoversten to approve the consent agenda. Motion unanimously carried. 5. PUBLIC HEARING — NONE 6. COMMUNICATIONS, REQUESTS AND PETITIONS (a) UPDATE ON BID OPENING RESULTS FOR FIRE TRUCKS BY FIRE CHIEF BRAD EMANS Fire Chief Brad Emans reported the Fire Department combined the proposed 2000 and 2001 bids into one bid for a shared cityirural rescue truck and a telescoping platform truck. Four bids were received and opened on October 6, which were competitive. Emans commented that the rescue truck currently being used was 16 years old. He stated it was estimated a replacement truck would cost between $250,000 and S260,000. The low bid came in at $231,000, with one -half of the cost to be absorbed by the township. Therefore, the City saved approximately $30,000. The Fire Chief informed the City Council that the estimated cost for a 100' platform truck was in the $650,000 to $670,000 range. Since the low bid came in at $610,000, this was a saving of approximately $60,000. The Fire Department Truck Committee will review the low bids to determine that • they meet the specifications. Then a recommendation for awarding the bids will be presented to the City Council at a future meeting. 2 • CITY COUNCIL MINUTES — OCTOBER 10, 2000 7. UNFINISHED BUSINESS (a) DISCUSSION OF ANNEXATION AREA NEAR HWY. 7 EAST AND HWY. 22 It was reported that staff held a neighborhood meeting in September to discuss the issues of annexation in the Highway 7 area. No new issues were raised at the meeting, and utility services, timing and costs were reviewed. As a result of City Council direction, the staff met with the Township and their Attorney in an attempt to accept an agreeable joint resolution. Some of the minor issues in the document were resolved. However, the larger issue of annexation timing for the remaining parcels remained unresolved. City Attorney Richard Schieffer recommended not committing to a specific time frame within the document because of specific future problems. He stated the City had received multiple time extensions from the Office of Boundary Adjustments, State Planning. If the City failed to act on the annexation by October 13, 2000, the State would assign a procedure for a "disputed annexation." One of two types of procedures would be used: either mediation or arbitration. The parties involved would pay for the service, namely the City and Township. The mediation process would be less costly, and the arbitration process would involve an administrati law j udge. Motion by Mlinar, second by Haugen to adopt a Resolution to return the annexation issue back to the State Planning Agency for mediation or arbitration action since the • City and Township have been unable to reach a mutual agreement on the annexation. Motion unanim ously carried The Mayor acknowledged that a letter was received from U.S. Bank, Real Estate Asset Management, on behalf of the Ag Systems property. It stated opposition to the potential annexation of the three parcels along Hwy. 7 West since it would not provide any benefit. (b) CONSIDERATION OF ENTERING INTO AGREEMENT WITH HUTCHINSON COMMUNITY VIDEO NETWORK, INC. (HCVN) TO INSTALL AN ANTENNA ASSEMBLY ON CITY CENTER ROOF It was reported that the agreement for permission to install an antenna assembly on the City Center roof would not be considered permanent or semi- permanent, and the equipment would be removed by HCVN within 10 days following written notice by the City to HCVN. Motion by Peterson, second by Haugen to approve and enter into agreement with Hutchinson Community Video Network. Motion unanim ously carried. 8. NEW BUSINESS (a) CONSIDERATION OF CONSULTING CONTRACTS WITH EARTH TECH FOR: (1) CONSTRUCTION RELATED SERVICES FOR SOUTH AREA TRUNK SEWER; PHASE I (LETTING NO. 1, PROJECT NO. 1) • (2) WATER TREATMENT PLANT DESIGN REPORT AND WELL HEAD PROTECTION PLANNING CITY COUNCIL MINUTES — OCTOBER 10, 2000 Rodeber2 renoned on the two consulting contracts with Earth Tech. He recommended to approve the contract for construction related services on the south area trunk sewer. Phase I, and to defer the contract for water treatment plant designiwell head protection until the October 24 meeting. Motion by Hoversten. second by Mlinar to approve and award the contract for the trunk sewer, Phase I, and to defer the second contract until October 24, 2000. Motion unanimously carried. (b) CONSIDERATION OF APPROVING SUBDIVISION AGREEMENTS FOR: (1) MENARD ADDITION (2) SUMMERSET ADDITION (3) BEAU RIDGE SUBDIVISION Rodeberg reported there would be minimal City cost associated with the three subdivision agreements. The Menard Addition and Summerset Addition would be financed with private funding, and the Beau Ridge Subdivision located in the area of Modem Mazda would not require any City cost. Motion by Mlinar, second by Peterson to approve the subdivision agreements. Motion unanimously carved. (c) DISCUSSION OF TH 7 CENTRAL PROJECT STATUS The City Engineer updated the City Council on the status of the TH 7 Central Project. Since it will be a long process, he stated there would be many public meetings regarding the project. He reported the project was scheduled to begin in 2006, and MN/DOT had started the process on the corridor to Culligan's on the east end and were within their design plan. Rodeberg noted that it would take time to acquire the necessary property to complete the project. Phase I would include Hwv. 7 to Main Street, including the Main Street bridge, and Phase II work would occur west of Main Street. Rodeberg will keep the Council informed as information becomes available. (d) CONSIDERATION OF REVISED ASSESSMENT ROLLS (1) SPECIAL ASSESSMENT ROLL NO. 5037; LETTING NO. 4. PROJECT NO. 00 -05 & 00-06 r RESOLUTION NO. 11586 —REVISED RESOLUTION DECLARING COST TO BE ASSESSED AND ORDERING PREPARATION OF PROPOSED ASSESSMENT. LETTING NO. 4 > RESOLUTION NO 11587 — RESOLUTION ADOPTING REVISED ASSESSMENT, LETTING NO. 4 Rodeberg reported that Assessment Roll No. 5037 pertained to improvements on Jorgenson Street SE and Oak Lane SE. The assessment on Jorgenson was 25% less than originally assessed. Motion by Peterson, second by Haugen to approve the revised assessment roll and to adopt Resolutions No. 11586 and No. 11587. Motion • unanimously carved. 4 • CITY COUNCIL MINUTES — OCTOBER 10, 2000 (2) SPECIAL ASSESSMENT ROLL NO. 5039; LETTING NO. 6 ➢ RESOLUTION NO 11588 —REVISED RESOLUTION DECLARING COST TO BE ASSESSED AND ORDERING PREPARATION OF PROPOSED ASSESSMENT, LETTING NO. 6 RFSOL. TrION NO 11589 — RESOLUTION ADOPTING REVISED ASSESSMENT, LETTING NO. 6 The City Engineer commented that the sanitary sewer project and Griffin Street were dropped from the revised Assessment Roll No. 5039. Motion by Peterson, second by Hoversten to approve the revised assessment roll and to adopt Resolutions No: 11588 and No. 11589. Motion unanimously carried. (3) SPECIAL ASSESSMENT ROLL NO. 5046; LETTING NO. 9 ➢ RFSOL. TIION NO. 11590 —RESOLUTION DECLARING COST TO BE ASSESSED AND ORDERING PREPARATION OF PROPOSED ASSESSMENT, LETTING NO. 9 ➢ RFSOL 1TiON NO, 11591 RESOLUTION WAIVING HEARING ON PROPOSED ASSESSMENT, LETTING NO.9 ➢ RESOLUTION NO. 11592 — RESOLUTION ADOPTING ASSESSMENT, LETTING NO. 9 • Rodeberg stated an assessment cost had been added to Assessment Roll No. 5046. Motion by Hoversten, second by Mlinar to approve the revised assessment roll and to adopt Resolutions No. 11590, No. 11591, and No. 11592. Motion unanimously carried. (4) SPECIAL ASSESSMENT ROLL NO. 5045, LETTING NO. 11 ➢ RESOLI 1TION NO. 11593 - RESOLUTION DECLARING COST TO BE ASSESSED AND ORDERING PREPARATION OF PROPOSED ASSESSMENT, LETTING NO. 11 ➢ RFSOI. 1TION NO. 11594 —RESOLUTION WANING HEARING ON PROPOSED ASSESSMENT, LETTING NO. I 1 ➢ RESOLUTION NO. 11595 — RESOLUTION ADOPTING ASSESSMENT, LETTING NO. 11 The City Engineer reported that $30,000 of the project cost would be assessed to the benefited property owner, namely McLeod County Fair Grounds. Motion by Mlinar, second by Haugen to approve the revised Assessment Roll No. 5045 and to adopt Resolutions No. 11593, No. 11594 and No. 11595. Motion unanimously carried. (e) CONSIDERATION OF OFFERING $50 DISCOUNT FOR COLUMBARIUM NICHES TO PARTICIPANTS IN UPCOMING INFORMATIONAL SEMINAR FOR CREMATION AND CREMATION - RELATED SERVICES 1 0 Rodeberg explained that Oakland Cemetery and Dobratz -Hantge Funeral Chapels CITY COL:NCIL MINUTES — OCTOBER 10, 2000 planned to co -host an informational seminar on cremation and related services. It was recommended that the seminar participants be offered a a S50 discount for the purchase of columbarium niches. The requirement was that the purchase be made within 24 hours after the seminar concluded. Motion by Mlinar, second by Peterson to approve the discount offer. Motion unanimously carried. (f) CONSIDERATION OF REQUEST BY HUTCHINSON AREA HEALTH CARE TO PURCHASE ANESTHESIA MACHINES The HAHC Board requested authorization to purchase four Aestiva 3000 anesthesia machines and four monitoring systems from Datex- Ohmedia in the amount of S265,368, which included a trade -in allowance. The expected life of the machines was seven years. Motion by Mlinar, second by Haugen to approve the purchases. Motion unanimously carried. (g) CONSIDERATION OF AWARDING BIDS FOR SALE OF GENERAL OBLIGATION YEAR 2000 BONDS 1. GENERAL OBLIGATION TEMPORARY PUBLIC UTILITY REVENUE BONDS, SERIES 2000A ($4,000,000) 2. GENERAL OBLIGATION WASTEWATER TREATMENT REVENUE • BONDS, SERIES 2000B (52,800,000) 3. GENERAL OBLIGATION IMPROVEMENT BONDS, SERIES 2000C ($2,425,000) Mr. James D. Prosser, Financial Advisor of Ehlers & Associates, Inc., presented the bid results for the three general obligation bonds the City of Hutchinson advertised. He reported the following interest rates: °o G.O. Public Utility Revenue Bonds - Series 2000A: 4.8796% ❖ G.O. Wastewater Treatment Revenue Bonds -Series 2000B: 5.1564% ❖ G.O. Improvement Bonds -Series 2000C: 4.9414% Motion by Mlinar, second by Peterson to approve the bids and award the sale on the three General Obligation Bonds and to adopt Resolutions No. 11601, No. 11602 and No. 11603. Motion unanimously carried. (a) COMMUNICATIONS FROM DIRECTOR OF ENGINEERING 1. Rodeberg reported that Change Order No. 1, Project No. 00 -20, Letting No. 7, was for the completion of street light installation on South Grade Road. Since the Hutchinson Utilities did not have time to complete the work, a . quote was received from Duininck Bros. through Quade's. They offered a price of $18,500, and the change order reflects this additional increase in the • CITY COUNCIL MINUTES — OCTOBER 10, 2000 contract amount. The City Engineer noted that the cost would be the same as if the City did the work. Motion by Haugen, second by Mlinar to approve Change Order No. 1. Motion unanimously carried. (2) The City Engineer stated that Change Order No. 5 was for additional grading work in the boulevards on Dale Street under Project Nos. 99 -03 and 99 -04, Letting No. 4. Duminck Bros. would perform the work at a net increase of 53,482.20 in the contract amount. Motion by Peterson, second by Hoversten to approve Change Order No. 5. Motion unanimously carried. (3) Rodeberg commented on several projects in progress, and he noted that today Menards had started grading work on their site. (b) COMMUNICATIONS FROM FINANCE DIRECTOR Kenneth B. Merrill requested adoption of Resolution No. 11600, which would set the interest rate for the year 2000 at 5.9%. He stated this rate was the true interest rate of the 2000 improvement bonds plus I%. Motion by Mlinar, second by Peterson to approve the 2000 interest rate and adopt Resolution No. 11600. Motion unanimously carried. (c) COMMUNICATIONS FROM CITY ADMINISTRATOR Plotz suggested setting a budget workshop on October 24, 2000 at 4:00 p.m. as a follow -up to the all -day budget workshop held today. Motion by Mlinar, second by Haugen to set a budget workshop for October 24 at 4:00 p.m. Motion unanimously carried. The City Admmistrator commented on a recent article in the October 9 edition of the Star Tribune regarding garbage hauling and Waste Management. He noted that the City was waiting for Waste Management's attorney to draw up a hauling contract with the City of Hutchinson. 1 : lu 2J : W 1104 1 ► : 1 1C I I .rrt : OaXV4 l31►IKy 0 (a) VERIFIED CLAIMS A & B 7 CITY COUNCIL MINUTES — OCTOBER 10. 2000 0 Motion by Peterson. second by Hoversten to approve the verified claims A and authorize payment from appropriate funds. Motion unanimously carried. Motion by Haugen, second by Mlinar to approve the verified claims B and authorize payment from appropriate funds. Motion carried with Hoversten abstaining from votine. e l:► There being no further business, the meeting adjourned at 6:10 p.m. 0 MINUTES HUTCHINSON PLANNING COMMISSION Tuesdav, September 19. 2000 CALL TO ORDER 5:30 P.M. The meeting was tailed to order by Chairman Arndt at 5:30 Olsen, J,m Haugen, Jeff Jones and Brandon Fraser. The f and Dave Westlund. Also present: Julie Wischnack. AICP, Planning Coordinator and Richard Schieffer, C.ty Attorney. 2. CONSENT AGENDA p.m. with the following members present: Jason oilowing members were absent: Dean Kirchoff Director of Planning/Building/Zoning; Holly Kreft, Mr. Jones moved to approve the minutes as submitted. Mr. Olsen seconded the motion. Motion carved. 3. PUBLIC HEARINGS a) CONSIDERATION OF AMENDMENTS TO REGULATIONS REGARDING TELECOMMUNICATION TOWER AND ANTENNA (SECTIONS 3 AND 10 OF THE CITY OF HUTCHINSON ZONING ORDINANCE) Chairman Arndt opened the hearing at 5:32 D.m. with the reading of publication #6233 as published in the Hutchinson Leader on Thursday, September 7, 2000. Ms. Wischnack suggested that the public hearing be delayed until later in the meeting since no one was present for this hearing. After addressing the other items on the agenda, Ms. Kreft presented a slide show illustrating the different types of towers. She added that Mr. Schieffer had recommended some changes to the ordinance to tighten up the language. Ms. Wischnack clarified that this was the public hearing, but that the moratorium was in effect until November 1, 2000. There was discussion about the need for a variance over a certain height limit. Mr. Schieffer clarified that a variance was not needed, but that towers over 75 feet were allowed only in certain districts by conditional use. Mr. Jones questioned what the maximum height of monopole structures was. Ms. Wischnack stated that sne has seen a monopole tower at 330' in height. Mr. Jones stated that he would like to have more information about monopole towers at the next meeting. Mr. Haugen moved to table the request until the next meeting. Mr. Jones seconded the motion. Motion to approve carved unanimously. b) CONSIDERATION OF A CONDMONAL USE PERMIT TO REMODEL THE EXISTING CEDAR CREST FACILITY AS REQUESTED BY HENRY AND ROSALIND EWALD (225 SHADY RIDGE RD) Chairman Arndt opened the hearing at 5:33 p.m. with the reading of publication #6234 as published in the Hutchinson Leader on Thursday, September 7, 2000. Ms. Wischnack presented the request and gave the zoning history of the project. She displayed the site plan with the proposed addition. She also stated that the addition does meet all the required setbacks. She added that the existing stairway did encroach into the required setback. Ms. Wischnack added that staff did have concerns about the drainage for the patio area. Mr. Jones requested clarification of the number the residents. Ms. Rosalind Ewald, owner, stated that the addition would bring the total number of residents up to 44. Mr. Haugen questioned how access would be gamed during the construction process. Ms. Ewald stated that they had permission from the Hwy 7 truck stop to use their parking lot. Mr. Haugen questioned if the building was currently sprinkled. Ms. Ewald stated that it was. Ms. Wischnack questioned what the pipe in the backyard was. Mr. Scott Schonenmeier replied that it was a ceanout for the sanitary sewer. Minutes Planning Commission — September 19. 2000 Pace 2 Mr. Jones moved to close the hearing at 5:42 p.m. Mr. Haugen seconded the motion. The motion carried unanimously. Mr. Olsen moved to approve the conditional use permit with the following conditions: 1. The applica• provide a more detailed plan to address drainage issues, prior to building permit issuance: 2. Removed vegetation (for construction) must be replaced; and 3. The addition must follow the site plan dated August 16, 2000. Mr. Jones seconded the motion. Motion carried unanimously. 4. NEW BUSINESS a) CONSIDERATION OF A FINAL PLAT FOR A 4 -LOT SUBDIVISION TO BE KNOWN AS MENARD ADDITION AS REQUESTED BY MENARD INC. (EAST OF TH 15 AND NORTH OF AIRPORT ROAD Ms. Wischnack presented the requested. She reminded the Commission that they had previously approved the annexation. rezoning, conditional use permit and preliminary plat. She added that the sewer and water lines would be done in coordination with the Edmonton Avenue project. She also stated that the easement for the stormwater pond had been added to the plat. Ms. Wischnack added that the fencing was shown to be a chain link fence instead of the previously approved opaque fence. Mr. Arndt asked where the location of the stormwater pond was. Ms. Wischnack displayed the Overhead showing the location of the.pond and added that it would be a regional pond shared with the Summerset Addition. Mr. Haugen questioned the timeframe for the construction of the building. Ms. Wischnack replied that they had indicated that they would open in early summer with access from Airport Road. Mr. Olsen questioned if the fencing had changed. Ms. Wischnack replied that it had changed from opaque to chain link and would need to be revised. Mr. Jones moved to approve the final plat with the following conditions: 1. Revise plat to add drain avid utility easement around ponding area; 2. Change slope of pond to at least 4:1; 3. Revise fencin material to opaque as on the site plan; and 4. Permitting for the entrance onto TH 15 must be acquired from MNDOT prior to constructing that portion of the project. Mr. Haugen seconded the motion. Motion to approve with the above conditions carved unanimously. b) CONSIDERATION OF A FINAL PLAT FOR A 21-LOT SUBDIVISION TO BE KNOWN AS SUMMERSET ADDITION AS REQUESTED BY DEVELOPERS RESOURCE CO. (SOUTH OF SCHMIDTBAUER'S 4" ADDITION AND EAST OF SHERWOOD ST) Ms. Wischnack presented the request and displayed overheads showing the rezoning and preliminary plat. She added that the lot widths for Lots 4 and 5, Block 1 and Lot 1, Block 2 need to be increased. She also added that there would be two ponding areas. Mr. Haugen questioned what the timeline for construction. Marty Campion, project engineer with Otto and Associates, replied that this area had been chosen because of the availability of sewer. He also added that other phases would be done as the Edmonton Avenue project was finished. Mr. Jones moved to approve the final plat with the following conditions: 1. A subdivider's agreement must be executed at the time of the final plat review; and 2. Lot sizes must be adjusted to meet the minimum requirements. Mr. Olsen seconded the motion. Motion to approve with the above condition carried unanimously. c) CONSIDERATION OF A FINAL PLAT FOR A 13-LOT SUBDIVISION TO BE KNOWN AS BEAU RIDGE AS REQUESTED BY JEFF MUNSELL (SOUTH OF GOLF COURSE ROAD AND WEST OF MUNSO ADDITION) Ms. Wischnack presented the request and explained that Right -of -Way No. 5 needed to be recorded prior to this plat. She added that Lot 1 will need access from Golf Course Road and that it should be shared with Lot 2. She also added that a drainage easement is shown in the southwest comer as weY Minutes Planning Commission - September 19. 2000 Page 3 as berming along the western line of the plat. . Mr. Arndt questioned if screening would need to be done between the residential area and the existing Modern Mazda. Marty Campion. project engineer with Otto and Associates, replied that there would be the drainage area and the berming. Ms. Wischnack stated that the ordinance does not require residential properties to provide screening adjacent to an existing commercial area. Mr. Haugen asked if outlot is for the existing building. Mr. Campion replied that it was. Mr. Jones moved to approve the final plat with the following conditions: 1. Must execute subdividers agreement prior to consideration of the final plat by the City Council; 2. Watermain must be oversized and pressures must be verified; and 3. Access for Lot 1 shall be from Goff Course Road. Mr. Haugen seconded the motion. Motion to approve with the above conditions carried unanimously. 5. OLD BUSINESS COMMUNICATION FROM STAFF Ms. Wischnack updated the Commission as to the status of Frank Fay annexation request. She added that a meeting was held with the township and their attorney as well as with the neighborhood. She added that the City had concerns about the timeframe. She explained that the township wanted seven years of protection for the properties that are not interested in annexation at this time. Mr. Schieffer reiterated that it would not be in the best interest of the City to place any timeline on the annexation because it may affect health and safety as well as the amount of assessable property. ADJOURNMENT There being no further business, Mr. Jones moved to adjoum the meeting at 6:50 p.m. Mr. Olsen seconded the motion. Motion canned. 0 HUTCHfNSON AREA HEALTH CARE • BOARD OF DIRECTORS MEETING — September 19, 2000 Burns Manor Nursing Home — Multi Purpose Room — 5:30 PM Present Paulette Slanga, Chairperson; Bob Peterson, Vice Chairperson; Steven Snapp, Secretary; Duane Hoversten, Trustee; Pastor Randy Chrissis, Trustee. Absent. Dr. Jim Allen, Chief of Staff/Trustee (excused), Wayne Fortun, Trustee (excused) Others Present Phil Graves, President; Jane Lien, Acute Care Programs and Services Division Director; Pam Larson, Finance, Information and Material Services Division Director; Linda Krentz, Burns Manor Nursing Home Administrator; Robyn Erickson, Care and Program Support Services Division Director; and Pat Halverson, Community Care Programs and Support Services Division Director Chairperson Slanga called the meeting to order at 5:35 PM. A Quality Improvement Team provided a presentation on "Recruitment and Retention" for the Senior Care Division. The goal was to streamline the recruitment process and focus on retaining current employees, which will assure consistent, quality care to Residents of the Nursing Home. Their continuous improvement efforts resulted in some of the following outcomes: • • Reduced turnover of Nursing Assistants • Reduced premium pay for Nursing Assistants because of the increase in regular staff. • Continuous improvement of staff moral as evidenced by employee feedback. Some of the ongoing efforts by the team are: • Weekly team meetings (ongoing) • Structured Preceptor Program • Informal Roundtable feedback discussions with staff • Repeat of the Employee Focus Survey • 2 nd Annual Nursing Assistant conference (continuing education opportunity) I. Minutes of Past Meetings The minutes of the August 15, 2000, meeting were presented and discussed. • Following discussion, motion was made by Snapp, seconded by Peterson, to approve the minutes of the August 15, 2000, meeting. Four were in favor. Hoversten abstained. Motion carried. H. Medical Staff Meeting Minutes and Credentialing. Phil Graves, in Dr. Allen's absence, reported on the activities of the Medical Staff. The Executive Committee of the Medical Staff has recommended the following list of practitioners for approval. �1) Board of Directors Meeting Minutes — September 19, 2000 Page 2 0 Initial. Appointments Keri Kuhn, MS, LP Allied Health Independent (include Long Term Care) Provisional to Courtesy: Paul Carey, MD Emergency Courtesy Aleksandra Szymajda, MD Emergency Courtesy (include Long Term Care) Susan Van Pelt, MD Emergency Courtesy Provisional Period Extended 12 months Jennifer Ray, MD Family Practice Provisional/ Courtesy Provisional to Active: Orthopedics Active Frank Norberg, MD Delineation of Privileges Lists James Felling, PH.D Updated Allied Health Independent Sam Scholl, MA, EdS., LP Allied Health Independent Mark Smith, Ph.D. LP Allied Health Independent Stacy Nichols, MD Active Reappointments. • H. Dean Hughes, MD Emergency Active y Desiree Kempcke, MD Orthopedics Active Martin Lipschultz, MD Pathology Courtesy Steven Mulder, MD Emergency Active Noel Collis, MD Internal Medicine Courtesy Lone Term Care: Panneer Manickam, MD Internal Medicine Active le lEiLoom Heather Hollender, MD Plastic Surgery Courtesy Sandra Henschke, CRNA Anesthesia Allied Health Rodney Thompson, MD Emergency Courtesy Robert Van Tassel, MD Cardiology Courtesy Bruce Craig, CRNA Anesthesia Allied Health Grant Nakamura, MD Emergency Active Roger Carlson 01:�o Tech Allied Health Janet Scharmer, NP Student, has completed her course work at HAHC. Scott Sunby, Medical Student, has completed his rotation at HAHC. ML-acellaneoos: Brian Bonte, DO Family Practice Active 3� Board of Directors Meeting Minutes — September 19, 2000 • Page 3 • Voluntary reduction in OB Privileges Following discussion, motion was made by Hoversten, seconded by Peterson to grant membership and privilege to the above listed practitioners, as recommended by the Executive Committee of the Medical Staff. All were in favor. Motion carried. III. New Business. A. Safety Report. Halverson reviewed the quarterly safety report. • Employee incidents increased mainly at the hospital campus. No trends were noted. • Falls decreased at Burns Manor. This may relate to decrease in case mix. A "sharps" work group was started due to a new OSHA standard. Chrissis questioned the Life Safety grid. In some instances the Performance Indicator Score is 100% but the Compliance Rate is less than 100 %. Halverson explained the compliance rate indicates the percentage of employees that returned evaluation forms and the Performance Indicator Score indicates how employees in the service area responded to the code. • • Following discussion, motion by Chrissis, seconded by Snapp to approve z the safety report as presented. All were in favor. Motion carried. B. Purchase of Anesthesia Machines. The board reviewed a Capital Expenditure Request for the purchase of four Aestvia 3000 anesthesia (gas) machines and four monitoring systems from Datex - Ohmedia. The machines that are currently in use are I I years old and have gone beyond their useful life. The new equipment is modular in nature and will allow for easier replacement and/or purchase of parts in the future. The expected life of these machines is seven years. This purchase would be made through our VHA contract. The proposed purchase price for four machines and monitors is $265,368 including a trade -in allowance. Following discussion, motion was made by Chrissis, seconded by Snapp to request approval from the City Council to purchase four Aestiva 3000 anesthesia machines and four monitoring systems from Datex - Ohmedia in the amount of $265,368. All were in favor. Motion carried. C. RestaQinp of Rental pavme1ta for the Medical Center Larson discussed the request from HMC to re -stage their monthly rental payments for their occupancy inn the Medical Office Building. The anticipated physician growth for Hutchinson Medical Center has not materialized as projected, and they are having difficulty with the large increase in the monthly rental expense related to the most recent building project. Q3) Board of Directors Meeting Minutes — September 19, 2000 Page 4 HMC has requested that the eight months of rent paid in 2000 be considered full rent for the calendar year and that the monthly rentals going forward be adjusted. An analysis prepared by Ehlers & Associates was presented which shows monthly lease payments starting in 2001 at $49,000 and ramping up to $66,800 over a five year period. It was noted, with the adjustment in the first five years, the Hutchinson Medical Center will be paying rental amounts, over the life of the bond issue, sufficient to retire the debt on the revenue bonds. Following discussion, motion was made by Peterson, seconded by Chrissis to approve the re- staging of the HMC monthly lease payments according to the schedule prepared by Ehlers & Associates and to accept eight months of rental payments as payment in full for 2000. All were in favor. Motion carried. D. Oncology Space. Lien gave a brief update on the oncology program at HAHC and the need to rent additional space at HMC for oncology. HAHC is part of a program that participates in clinical trials for new cancer treating drugs. The first patient in this program started a week ago and is being treated for colon cancer. The need to rent three additional offices from Hutchinson Medical Center stems from the desire to have Dr. Frenning and • the nursing staff closer so he has more efficient access to his patients, thus improving patient care. Lien indicated that Dr. Frenning would be attending the next board meeting to provide an update on the Oncology Program. • Following discussion, motion was made by Peterson, seconded by Hoversten to occupy one additional office space and three examination rooms in the Hutchinson Medical Center at the same cost per square foot as the previously occupied spaces. All were in favor. Motion carried. E. CRNA Billiniz Servi Larson provided an update on the opportunity to capture additional revenues related to Certified Registered Nurse Anesthetist (CRNA) billing. The Meditech system currently does not allow us to bill for all the components in the required format to capture revenue that is due to us from 3' parties for services provided. As a result we have been in dialogue with a billing service, (Broadston Consulting), to assist us with this effort. The engagement with this firm would last approximately 18 months after which time the billing would be brought "in house ", barring any unforeseen circumstances. The rate for the service has been proposed at 7.5% of collections or a flat fee of $27.00 per case. (A) Board of Directors Meeting Minutes — September 19, 2000 • Page 5 • Following discussion, motion was made by Hoversten, seconded by Chrissis to approve a contract with Broadston Consulting to provide CRNA billing services. All were in favor. Motion passed. F. Personnel Committee Re port. Erickson presented a report to the Board regarding monies that have been allowed by the State Legislature to enhance salaries for non - management use in the Nursing Home. Erickson explained the compensation system at HAHC and the need to treat the same class of personnel equally at both the Hospital and Home. There is approximately $113,000 of state funds available to be used for the Nursing Home compensation adjustment. Erickson presented the distribution plan, as recommended by the Personnel Committee, to use $71,075 of these state funds. The plan includes a $44,056 cost to the hospital campus that will not be subsidized with state monies, but will need to be absorbed as part of operations. HAHC considered not accepting the state monies, but determined the employees have an expectation to receive these monies as they have in prior years. Also discussed was the possibility of subsidizing the previously budgeted increases with the State monies. A request to the State will be made ` regarding this and if allowed, the plan would be adjusted to reflect that change and an amount not to exceed $113,000 would be requested. Chrissis asked how long the State would continue to offer these funds. To date, there has been no indication from the State as to how long they will continue to make compensation funds available to Nursing Homes. • Following discussion, a motion was made by Snapp, seconded by Peterson to approve the compensation distribution plan as presented. All were in favor. Motion passed. G. Retreat Reflections. Board members discussed the retreat that was held recently at Riverwood Conference Center. Comments were generally positive about the turnout, agenda, participation, and the facilitator. Graves reported the HAHC Leadership retreat is scheduled for October. A format similar to the Board retreat will be followed. A final report from the facilitator will be expected within the next couple of weeks. IV. Organizational Reports A. President — Graves reported that the goal for the building project is anticipated to be approximately $5 million without any significant change to Bums Manor or consideration for a new Nursing Home. • The most significant question to be answered is the future of the Nursing • Home and where it will be located. ��1 Board of Directors Meeting Minutes — September 19, 2000 Page 6 • Hoversten questioned if there would be cost savings generated by moving the nursing home to the hospital campus. Graves responded that there may be, but could not attach any dollars to them. Peterson agreed with Graves suggestion to investigate potential options that may exist for doing assisted living and long term care with a partner and where those facilities might be located. Slanga recommended, and board members agreed, that the services of a consultant be engaged to revisit the vision of our care continuum. Graves reported there is a fuel tank leak in the back of the Dassel Medical Center. The tank lifting is scheduled for this week. The extent of the issue is unknown at this time. An update will be brought to the next meeting. Graves provided an update on the status of hiring a property manager for Plaza 15. The interviews are being set and Schlueter will connect with Peterson, Snapp, and Hoversten to coordinate schedules. Kraus Anderson has offered to continue to manage month -by -month until further decisions are made. B. Acute Care .2r:n and Nothing to report. C. Care and Proffam Support Services. Nothing further to report. D. Communi Ca Programs and Services. Nothing further to report. E. Fi nance, .m, •n and Mater • vices. Nothing further to report F. Se nior i P and Serv Nothing to report. Account Payable. The account disbursements and cash disbursements were presented for payment. • Following discussion, motion was made by Peterson, seconded by Snapp, to approve the account payable and cash disbursement as listed in the amount of $1,918,242.14. Three were in favor. Hoversten abstained. Motion carried. Statistical Report. The August statistics for admissions, newborns, emergency services, ambulance runs, radiology /mammograms, same day surgical visits, inpatient surgical, average length of stay and case mix were presented and discussed. Financial Report Larson reported on the organization's financials for the month of August 2000, which showed a net income of $31,647, compared to a budget of $164,039. Following discussion, motion was made by Peterson, seconded by chrissis to approve the financial statement as presented. All were in favor. Motion • approved. (6) Board of Directors Meeting Minutes — September 19, 2000 • Page 7 Hospital Auxiliary Meeting Minutes, The Hospital Auxiliary Meeting minutes were presented. No unusual comments were made. Motion by Peterson, seconded by Chrissis to adjourn the meeting. Respectfully submitted, Pam Larson Steven Snapp Acting Recorder Secretary i - • (1 MINUTES Parks, Recreation & Community Education Advisory Board September 7, 2000 • Members present: Jay Beytien, Mark Cornier, Bernie Miner, John Mlinar, Dolf Moon, Sonja Muellerleile, Brett Rasmussen, Mike Schiesl. John McRaith, Lee Wright, and Jay Berglund also presented at the meeting Minutes dated August 3, 2000 were approved by Bernie Miner and seconded by Brett Rasmussen. OLD BUSINESS Fall Brochure: Progr committee will meet shortly to discuss brochure and classes. Cost of 65$ to mail each brochure. Park & Recreation Budget (handout): Preliminary shown. Final budget completed in December. $15,000 up in revenue for 2001, $1.6 million budget, 37% revenue based on expenses. Expenses are up $57,000 for 2001. Community Center Update (overhead): Presentation to council on Monday. Meeting space to seat 500, subdivided into 2 -3 rooms, seating 250, 125, 125. Chamber offices will be on site until their own plans are finished. They will be the operational managers while on sit. West wall will be senior programming. This is the 8" rendition, trying to make most simple plan to drive cost down. $1.3 million now, $1 million grant support. Final $300,000 covered by seniors, hospital, chamber, city, and private. Event Center budget will lose $38,000 in fast year. City will manage with team of Chamber Director, CVB Director, and Senior Center Director, with Dolf supervising all. NEW BUSINESS Softball Fees (handout): John McRaith (adult programmer), Lee Wright (umpire), and Jay Berglund (umpire and participant) presented. Concerns regarding loss of softball teams. Numbers this year totaled 6 men's and 7 women's sanctioned teams. Lost 3 teams to Litchfield, who has lower prices. Current fees in Hutch $483 + non - resident fees, with $9 /team/game user fee included in this price, generating $12,000 per year. Usually collect approximately $750 in non - resident fees per year. Reasons number may be low include: younger kids not playing, more parents coaching, fees too high, sponsors hard to find, demographics, non- resident fee, user fee. Jay suggested reducing fees to $300 per team to regain numbers. Lee suggested Park Board discuss issue before bringing to Council. Possible problems include losing more teams, discontinuing sanctioned ball, and lack of tournaments. Will be up to John McRaith to survey teams and cut costs. Campground Survey (handout): Positive results all around. Comments included "well- maintained park". As of August 2000, revenue totals $14,000. School / City Contract (overhead): $50,000 school to city for maintenance. Positive comments! School grounds look good! Net labor costs $38,852, equipment/supplies $6,444 for total of $45,296. John Arlt, Lawrence Winter, Mark Schnobrich's time is not included in these totals. $35,000 of $50,000 spent on seasonal labor, with $5,000 hours of labor @ $7/hour. 0 2" Vice Chair: Nominees not at meeting. Will continue at October meeting. �z -�) -4 . RESOLUTION NO. 11604 RESOLUTION ESTABLISHING LOCATION FOR TRAFFIC CONTROL DEVICES WHEREAS, the Director of Engineering and the Police Chief agree that the following areas have traffic control concerns which warrant traffic control devices, and; WHEREAS, the Hutchinson City Council has the authority to establish locations as points where traffic control devices shall be erected, pursuant to Section 7.04, Subdivision 1 of the Hutchinson City Code; NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON: That the City Council hereby establishes a traffic control device known as "STOP," which shall be effective for the following locations: 1. On Park Island Drive SW at its intersection with McDonald Drive SW 0 y 2. On Tyler Street SW at its intersection with McDonald Drive SW BE IT FURTHERMORE RESOLVED that all other traffic control devices now existing at these locations be removed. Adopted by the City Council this 24th day of October, 2000. Marlin Torgerson Mayor ATTEST: Gary D. Plotz City Administrator 0 'd- (-4) -I- 0 RESOLUTION NO. 11608 RESOLUTION REQUESTING THE STATE LEGISLATURE TO AUTHORIZE FEE INCEASE FOR DEPUTY REGISTRARS WHEREAS, the Deputy Registrars have had only one fee increase since 1983, and WHEREAS, this increase in the amount of $0.25 (8 %) took place 11 years ago in 1989, and WHEREAS, the CPI has increased by 59% since 1983 and by 34.16% since 1989, and WHEREAS, in order to keep up with inflation since 1983, the Deputy Registrars would need a fee increase of $1.82, raising the fee to $5.32, AND WHEREAS, in order to keep up with inflation since 1989, the Deputy Registrars would need a fee increase of $1.20, raising the fee to $4.70. NOW THEREFORE, BE IT RESOLVED THAT without a fee increase, small public and private Deputy Registrars, many of which are located in rural areas, would not be able to remain in • business. BE IT FURTHER RESOLVED THAT when public Deputy Registrars are not able to cover their costs through fees for providing motor vehicle services, they must use property tax revenues to subsidize these services. BE IT FURTHER RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA that it is requested the State Legislature authorize a Deputy Registrars fee increase from the present $3.50 per transaction to $5.00 per transaction. Adopted by the City Council this 24` day of October, 2000. Marlin Torgerson Mayor ATTEST: • Gary D. Plotz City Administrator • • C Hutchinson City Center 111 Hassan Sweet SE Hutchinson MN 55350.2522 320.587.515VFas 320.234 -4240 MEMORANDUM DATE: October 18, 2000 TO: Hutchinson City Council FROM: Hutchinson Planning Commission SUBJECT: CONSIDERATION OF CONDITIONAL USE PERMIT FOR AN 18' X 40' ADDITION AS REQUESTED BY TRI- COUNTY WATER CONDITIONING INC. (325 3 AVE NW) Pursuant to Sections 10.01 of Zoning Ordinance No. 464, the Hutchinson Planning Commission is hereby submitting its findings of fact and recommendation with respect to the aforementioned request for a conditional use permit. HISTORY On September 19, 2000, the Donald Hantge of Tri- County Water Conditioning Inc. submitted an application for a conditional use permit to construct an 18' X 40' addition to the existing building. FINDINGS OF FACT 1. The required application was submitted and the fee paid. 2. Notices were mailed to the surrounding property owners as well as published in the Hutchinson Leader on October 5, 2000. RECOMMENDATION The Planning Commission voted to recommend approval of the conditional use permit with the following conditions: 1. Removal of access from Hwy 7 West. 2. A stormwater management plan shall be submitted prior to the issuance of a building permit. This plan must address how drainage will be handled on the property and diverted from neighboring properties. 3. An approval does not deem that there will not.be a potential building impact as a result of the highway project. Respectfully submitted, William Amdt, Chairman Hutchinson Planning Commission cc: Donald Hantge, Tri - County Water, 325 3f Ave NW, Hutchinson, MN 55350 Pnwe m rteyekd pwff - '// -�2 , "z I Hutchinson Citv Center Ill Haavan Street SE Hutchinson. NIN 55350.2522 320.597- 51511Fu 320. 234 -4240 M E M O R A N D U M TO: Mayor and City Council FROM: John P. Rodeberg. Director of Engineering/Public Works RE: Consideration of CUP for Tri -County Water Conditioning DATE: October 18, 2000 The Planning Commission has recommended approving the CUP noted above. even with a recommendation of denial from the Planning Staff. I felt very strongly in 1997 that we should not have approved the previous CUP which allowed construction of the building to within 8' of the Highway 7 right -of -way (see attached memo). I feel even stronger that approval of an additional CUP is extremely inappropriate, and will cost taxpayers when and if the property is acquired. It also goes against our Ordinance and policy in the zone by allowing multiple variations from recommended standards. In addition to my comments from 1997: • This property requires significant variations to virtually every setback. Allowing further degradation of the Ordinance is not good policy or practice. • The Street right -of -way setback is actually "less than zero" (if that is possible) because the property owner is using City right -of -way for parking. • The majority of parking noted is "unqualified" since it is located on City right -of -way. At some point we may need to utilize the full right -of -way of 3r Avenue. This would only leave about 7 qualified stalls (16 stalls are required by Code). • Although there are other properties in this same condition along 3' Avenue, this is supposedly due to the conditions existing when 3` Avenue was upgraded. This situation should not be degraded beyond its current condition, which is a safety concern! • Drainage concerns and the potential effect on neighboring properties are also significant. Please also read my memo from 1997. The issues still apply. The State may need to acquire this building in the near future to complete a project that has been strongly supported and promoted by the City Council. It is my recommendation that a CUP that has the noted impacts should be denied. Thank you for your consideration. J • r� LJ Primed on recycled paper - __ // I M E M O R A N D U M TO: Mayor and City Council FROM: John P. Rodeberg, Director of Engineering/Public Works RE: Consideration of CUP for Tri -County Water Conditioning DATE: April 17, 1997 Since the staff recommendation was not followed by the Planning Commission in regards to the above Conditional Use Permit (CUP), I feel it is important to discuss the background and reasoning of our recommendation. ♦ We would have a hard time approving a variance or conditional use permit that allows a primary structure to be located 8' from a right -of -way on a low volume residential street. It does not • appear to make sense to allow this type of setback on a major trunk highway with almost 15,000 vehicles a day. No zone allows less than a 25' setback, and this zone recommends 30 feet.. ♦ Although Mn/DOT has no jurisdiction over this matter until a project is specifically scheduled and funded, it is highly likely that a portion of this property will need to be acquired to address highway widening, safe sloping and/or reconstruction of infrastructure. ♦ If required to be purchased, the state will also be required to pay for relocation and other expenses that could greatly increase their cost. Although the state, not the City, would need to cover these costs, these costs would be assumed by the taxpayer. ♦ The estimated cost of the proposed reconstruction of TH 7/22, and the design problems associated with the slope in the area and the abundance of close properties, have caused this project to slip substantially in the state improvement schedule. By potentially increasing the cost of the project, and complicating design issues, we will be potentially delaying construction. ♦ We have been working hard to maintain the viability of the Trunk Highway system in Hutchinson, and have reviewed limiting accesses and increasing setbacks to protect safety and capacity. Although I understand that there is a need for the property to expand, the State and City are accepting a risk associated with allowing a major variance from recommended setbacks. Their is little, if any, risk to the property owner since the state will both purchase the property and pay for relocation. • City Center 111 Hassan Street SE Hutchinson, MN 55350.2522 (320)587.5151 Far (320) 234-4240 Parks & Recreation 900 Harrington Street SW Hutchinson, MN 55350 -3097 (320)587.2975 Fax (320) 2344240 Police Senices 10 Franklin Street SW Hutchinson, MN 55350 -2464 (320) 587.2242 _ Far(320)587 -6427 Printed on recycled paper - CITY OF HUTCHINSON PLANNING STAFF REPORT To: Hutchinson Planning Commission Prepared By: Planning Staff: Brad Emans, Dick Scheiffer, Dolf Moon, Don Nelson, Gary Plotz, Jean Ward, John Rodeberg, John Olson, John Webster, Marc Sebora, Mark Schnobrich. Steve Madson, Lolly Kreft, Christie Rock and Julie Wischnack, AICP Date: October 6, 2000 — Meeting Date: October 17, 2000 Applicant: Tri- County Water Conditioning Inc., applicant Donald Hantge, property owner Brief Description The applicant is requesting a conditional use permit to construct'a 720 square foot (18' X 40') addition to the existing commercial building. Since this is located in the C -5 District, a conditional use permit is required. The proposed addition would be used for showroom and office space. The recommended setback in the 11C District is 20' from interior property lines, and the applicant is requesting to reduce the setback to 7'6 ". Since this is a recommended setback, a variance process is not required. GENERAL INFORMATION Existing Zoning: C -5, Conditional Commercial District • Property Location: 325 3r Avenue NW Lot Size: 16, 196 square feet Existing Land Use: Retail and service business Adjacent Land Use And Zoning: I/C to the south and west (Stearnswood), C -5 to north and east (Laraway roofing) Comprehensive Land Use Plan: Commercial Zoning History: April, 1997 — Conditional Use Permit approved for construction of a 1,824 square foot aadition to the north side of building. This addition reduced the recommended setback from right -of -way from 30' to 8'. Staff recommended denial of this request (see attached memo), but it was approved by both the Planning Commission and City Council. The addition was built that year. Applicable Regulations: Section Conditional Commercial District Section 6.07 — Conditional Use Permit Required • Conditional Use Permit Tri-County Water Conditioning Planning Commission Review — October 17, 2000 • Page Z • • SPECIAL LNFORMATION Transportation: Main access from 3r .avenue NW; however, there is a minor access from Hwy 7 West. This access is approximately 10' in width. This access will most likely removed when Hwy 7 is expanded. The site plan also indicates it will be removed. Parking: There is currently space available for 19 parking spaces; however, only 12 are delineated. The requirement for a retail business is 5.5 spaces per 1,000 square feet and I space per 2,000 square feet for warehousing. The building, including the proposed addition, would have 2,500 square feet for showroom and office and 4,000 square feet of storage and shop area; and would therefore require 16 spaces. Analvsis: The llC District recommends setbacks requirements. This table compares the recommended with the existing and the proposed: Principal or Accessory Building Setback From: Recommended i .Actual Street right of way Interior Lot Line 30' 1 20' 8' 12' and 7'6" (proposed) Residential Zoning Boundary 50' NIA Parking Lot or Circulation Drive From: Street nght of way l0' 0' Interior lot line 10' 1 0' Residential Zoning Boundary 20' 1 N/A 1 Staff has concerns regarding the drainage of the property. There is a fairly steep slope to the north of the existing buildings and the proposed addition would impact the drainage to the neighboring property. The square footage of the lot is 16,196 feet and the square footage of the building, including the addition, would be 6.800 square feet or 40% of the lot. However, when taking into account the existing parking area (approximately 6,500 square feet) the total impervious surface is almost 80% of the entire lot. This area is in the watershed of the Crow River, which makes impervious surface issues more important. The property may be purchased as part of the Hwy 7 expansion slated for 2006. Staff has concerns about the addition to a building, which could potentially impacted at a later date. Recommendation: Based on the above analysis, staff recommends denial of the conditional use permit. However, should the Planning Commission wish to recommend approval, staff would recommend the following conditions be attached: 1. Removal of access from Hwy 7 West. 2. A stormwater management plan shall be submitted prior to the issuance of a building permit. This plan must address how drainage will be handled on the property and diverted from neighboring properties. Conditional Use Permit Tri-County Water Conditioning Planning Commission Review — October 17, 2000 Page 3 _. An approval does not deem that there will not be a potential building • impact as a result of the highway project. Cc: Donald Hantge, 325 3`d Avenue NW. Hutchinson. MN 55350 Dave Johnston. MNDOT 0 7 f p H v�y _— ° s ING. f4 I _ r I 40-0 I I W I u o1 18 fmr-1 J ` i r rr ° D Rio e W!5 _ PRfEFT! 157 _ 6 SITE PAN in sv�ee I " °� f,bl�TH I5 -O' 0 I ptea.W 1tGc>r -1 L� RESOLUTION NO. 11 E qC RESOLUTION APPROVI`�s: THE CONDITIONAL USE PERMIT TO CONSTRUCT AN ADDITION TO A COMMERCIAL BUILDING IN THE C5 DISTRICT AS REQUESTED BY TRI COUNTY WATER AS REQUESTED BY DONALD HANTGE BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MN: FINDINGS Donald Hantge, property owner, has submitted an application for a conditional use permit to construct an addtion to a commercial building in the C5 zoning district at the following described property: See Exhibit A The City Council has considered the recommendation of the Planning Commission and the effect of the proposed use on the health, safety, and welfare of the occupants of the surrounding lands, existing and anticipated traffic conditions, and the effect on values of properties in the surrounding area and the effect of the use on the Comprehensive Plan. in harmonv with the• The Council has determined that the proposed use. with the listed conditions, will be general purpose and intent of the Zoning Ordinance and the Comprehensive Plan. CONCLUSION RECOMMENDATION: The City Council hereby approves the conditional use permit with the following conditions: Removal of access from Hwy i West. A stormwater management plan shall be submitted prior to the issuance of a building permit. This plan must address how drainage will be handled on the property and diverted from neighboring properties. An approval does not deem that there will not be a potential building impact as a result of the highway project. Adopted by the City Council this 24th day of October, 2000. ATTEST: Gary D. Plotz City Administrator Marlin D. Torgerson Mayor Hutchinson Citv Center C III Barran Street SE Hu tchiawr 3LI155350 -2522 320. 587.5151 1Fax 320. 2344240 0 MEMORANDUM • DATE: October 18. 2000 TO: Hutchinson City Council FROM: Hutchinson Planning Commission SUBJECT: CONSIDERATION OF CONDITIONAL USE PERMIT TO GRADE AND FILL IN THE FLOODPLAIN OF THE SOUTH FORK OF THE CROW RIVER FOR THE CONSTRUCTION OF THE VETERAN'S MEMORIAL PARK AS REQUESTED BY THE CITY OF HUTCHINSON (295 I AVE NE) Pursuant to Sections 10.01 of Zoning Ordinance No. 464, the Hutchinson Planning Commission is hereby submitting its findings of fact and recommendation with respect to the aforementioned request for a conditional use permit. HISTORY On September 19. 2000, the City of Hutchinson submitted an application for a conditional use permit to grade and fill within the floodplain of the Crow River for the construction of Veteran's Memorial Park. FINDINGS OF FACT I. The required application was submitted and the fee waived. 2. Notices were mailed to the surrounding property owners as well as published in the Hutchinson Leader on October 5, 2000. RECOMMENDATION The Planning Commission voted to recommend approval of the conditional use permit with the following conditions: The City Engineer must submit a letter documenting there is not a flood storage impact- 2. Silt fencing be present throughout construction and not be removed until vegetation has been restored. 3. A submission from the DNR must be received Respectfully submitted, William Arndt, Chairman Hutchinson Planning Commission 0 cc: Lawrence Winter, Resource Recovery Coordinator Dolf Moon, PRCE Director Robb Collett, DNR Area Hydrologist Primed w m ckd paper - CITY OF HUTCHINSON PLANNING STAFF REPORT 0 To: Hutchinson Planning Commission Prepared By: Planning Staff. Brad Emans, Dick Scheiffer, Dolf Moon, Don Nelson, Gary Plotz, Jean Ward, John Rodeberg, John Olson, John Webster, Marc Sebora, Mark Schnobrich, Steve Madson, Holly Kreft, Christie Rock and Julie Wischnack, AICP Date: October 6, 2000 — Meeting Date: October 17, 2000 Applicant: City of Hutchinson, applicant and property owner Brief Description The applicant is requesting a conditional use permit to fill within the floodplain of the South Fork of the Crow River. The fill would be for the construction of a parking lot and accessory structures for the proposed Veteran's Memorial Park. Approximately 2,000 cubic yards will be added. The site plan indicates a park shelter. restroom and tank will be placed on the property. G ENERAL INFORMATION • Existing Zoning: C -3, Central Commercial Property Location: 295 1" Avenue NE Lot S*: Approximately 2.6 acres Existing Land Use: Vacant lot Adjacent Land Use And Zoning: I/C to the east, C -3 to south and west, South Fork of Crow River to north Comprehensive Land Use Plan: Park/Open/Public Zoning History: This property was part of the flood buyout program for the City. It was previously used as the Simonson Lumber. These buildings were demolished in October of 1998. (Staff has researched whether property may be used for park purposes as a result of purchasing the property through the flood grants. The grant papers state that park use is an acceptable use.) Applicable Regulations: Section 5.0 of the Shoreland Management Ordinance Section 6.07 — Conditional Use Permit Required SPECIAL INFORMATION • Transportation: Access will be from I Avenue NE. Parking: There are no parking requirements for park uses within the City Code. The plan indicates there will be 16 parking spaces. Staff discussed the -�-) -z Conditional Use Permit Citv of Hutchinson — Veteran's Memorial Park Planning Commission Review — October 17, 2000 Page 2 parking, and information was provided that there will be additional trail parking north of the river. Analysis: The City Engineer has stated there will be no flood storage impacts to the 100 year flood plain as a result of the fill being placed in - ; area. There will be a pond located on the north central portion of the ; - -)perry to capture and treat the run -off from the parking lot prior to entering the river. This pre - treatment should mitigate any negative effects on the protected water body. Recommendation: Staff recommends approval of the conditional use permit to fill within the 100 year flood plain. Staff would recommend the following conditions: 1. The City Engineer must submit a letter documenting there is not a flood storage impact. 2. Silt fencing be present throughout construction and not be removed until vegetation has been restored. 3. A submission from the DNR must be received. Cc: Lawrence Winter, Resource Recovery Coordinator Dolf Moon, PRCE Director Robb Collett, DNR Hydrologist E 0 VETERAN'S MEMORIAL PARK OF McLEOD COUNTY �':-• ��,.. :,fit.... #: �. F - _... -_._ - FIRST AYFNUE NB -- RESOLUTION NO. 11607 RESOLUTION APPROVING THE CONDITIONAL USE PERMIT TO GRADE AND FILL IN THE FLOODPLAIN OF THE SOUTH FORK OF THE CROW RIVER FOR THE CONSTRUCTION OF THE VETER_ _ ;• 'LMORIAL PARKAS REQUESTED BY THE CITY OF HUTCHISON BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON. MN: FINDINGS 'ity of Hutchinson, property owner, has submitted an application for a conditional use permit to grade and Fill in the floodplr._ : i the South Fork of the Crow River at the following described property: LL. . _ '.ESCRIPTION: Lots 1, 2, 3, 4, 5, 6 and the Easterly Portion of Lots 7 & 8 except RR 4/2 and the East 20 feet of Block 45 of the North Half of the City And Lot 3, Block 1 of Hutchinson Downtown Redevelopment Plat The City Council has considered the recommendation of the Planning Commission and the effect of th� proposed -use on the health, safety, a: : welfare of the occupants of the surrounding lands, existing an anticipated traffic conditions. and the t :ct on values of properties in the surrounding area and the effect of the use on the Comprehensive Plan. 3. The Council has determined that the proposed use, with the listed conditions, will be in harmony with the general purpose and intent of the Zoning Ordinance and the Comprehensive Plan. CONCLUSION RECOMMENDATION The City Council ;— ° ',y approves the conditional use permit with the following conditions: ne City Engineer must submit a letter documenting there is not a flood storage impact. Silt fencing be present throughout construction and not be removed until vegetation has been restored. A submission from the DNR must be received. Adopted by the City Council this 24 day of October, 2000. ATTEST: Gary D. Plotz City Administrator Marlin D. Torgerson Mayor Hutchinson City Center 111 Hawn Street SE Hutchinson, MN 55350.2522 320.587 - 5151117= 320734.4740 • EMORANDUM DATE: August 16, 2000 TO: Hutchinson City Council FROM: Hutchinson Planning Commission SUBJECT: VARIANCE TO REDUCE THE REQUIRED SETBACK FROM 10' TO 0' FOR THE EXPANSION OF A PARKING LOT AS REQUESTED BY HILLYARD INC. (26 MICHIGAN ST SE) Pursuant to Section 8.05, of Zoning Ordinance No. 464, the Hutchinson Planning Commission is hereby submitting its findings of fact and recommendation with respect to the aforementioned request for variance. HISTORY On September 19, 2000, Jeff Haag of Hillyard Inc. submitted an application for a variance to expand an existing parking lot by reducing the required setback from 10' to 0'. FINDINGS OF FACT 1. The required application was submitted and the appropriate fee paid. • 2. Notices were mailed to the surrounding property owners as well as published in the Hutchinson Leader on October 5, 2000. 3. Atthe public hearing held, no neighbors were present to object nor had staff received any written objections. 4. The hardship is due to the insufficient rum around area to accommodate truck traffic. RECOMMENDATION The Planning Commission voted to recommend approval of the variance with the following conditions: 1. A joint ownership document for the stormwater pond must be executed prior to approval by the City Council. 2. The permanent easement must include a shared driveway to act as access from Michigan Avenue for both the property in question and the property to the south. Respectfully submitted, William Arndt, Chairman Hutchinson Planning Commission cc: Jeff Haag, Hillyard Floor Care Inc., 26 Michigan Ave S.E., Hutchinson, MN 55350 Christie Rock, Executive Director of HCDC • Pn ad=mnledww- 4 CITY OF HUTCHINSO PL ANNING STAFF REPORT To: Hutchinson Planning Commission • Prepared By: Planning Staff. Brad Emans, Dick Scheiffer, Dolf Moon, Don Nelson, Gary Plotz, Jean Ward, John Rodeberg, John Olson, John Webster, Marc Seborn, Mark Schnobrich, Steve Madson, Holly Kreft, Christie Rock and Julie Wischnack, AICP Date: October 6, 2000 —Meeting Date: October 17, 2000 Applicant: Hillyard Floor Care Inc., property owner Hutchinson Community Development Corporation, applicant Brief Description A lot split was approved in February of this year. Following the lot split, it was determined that an easement existed for the electrical line that traverses the north end of the property. The building was subsequently moved to the south to accommodate for this easement. Due to the relocation of the building, additional area is needed for truck turning and access to the loading docks. HCDC has agreed to provide a permanent easement for additional parking and truck traffic. The property owner, therefore, is requesting variance to reduce the required setback from ten feet to zero feet for the additional parking. G FNF.R A INFORMATION • �J Existing Zoning: 1- 1, Light Industrial District Property Location: 26 Michigan Street SE Lot Size: Approximately four acres Existing Land Use: Industrial business for the manufacture and wholesale of cleaning chemicals Adjacent Land Use And Zoning: Vacant lot to the south, residential area to the west (R -3) and Luce Line Trail bordering the north Comprehensive Land Use Plan: Industrial Zoning History: Property was purchased in 1998 by HCDC; lot split was approved in February, 2000; the building was constructed in May, 2000 Applicable Regulations: Section 8.14 — Setbacks in 1 -1 District Section 6.04 — Variance Required SPECIAL INFORMATION Transportation: Access from Michigan Averse. The proposed easement includes an area for a shared driveway. Variance Hilivard Floor Care — 26 iAlichigan Ave. SE Planning Commission Review — October 17, 2000 Page 2 Parking: Not Applicable Physical Characteristics: Flat lot with pond in southeast comer. Analvsis: A variance is requested to reduce the required setback from 10' to 0' for the addition of parking and loading area. The listed hardship is that the building was required to be moved after the lot split had already been completed. Staff recommends approval of the variance with the following conditions: 1. A joint ownership document for the stormwater pond must be executed prior to approval by the City Council. 2. The permanent easement must include a shared driveway to act as access from Michigan Avenue for both the property in question and - the property to the south. Cc: Jeff Haag, Hillyard Floor Care Inc.. 26 Michigan Ave. SE, Hutchinson, MN 55350 Christie Rock, Executive Director of HCDC • r u E • LOT SPLIT FT - -IF I_ AUCIT�R'- =!LAT OF -HE W NW comer of Section 5 nettnTfl RAIL Nft � of n a T. +,e N_ 1122 W. RESOLUTION NO. 11606 RESOLUTION APPROVING A VARIANCE TO REDUCE THE REQUIRED SETBACK FROM 10' TO 0' FOR THE EXPANSION OF A PARKING LOT AS REQUESTED BY HILLYARD FLOOR CARE INC. (26 MICHIGAN ST SE) BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MN: FINDINGS 1. Hillyard Floor Care Inc.. property owners, made application to the City Council for a Variance under Section i.14 to expand an existing parking lot which encroaches into the required 10' setback of property at the following legal description: LEGAL DESCRIPTION: 3.83 Acres of Outlot 1 of Auditors Plat of the West Half of Section 5 of Hassan Valley Township 2. The City Council has considered the recommendation of the Planning Commission and the effect of the proposed use on the health, safety, and welfare of the occupants of the surrounding lands. existing and anticipated traffic conditions, and the effect on values of properties in the surrounding area and the effect of� the use on the Comprehensive Plan. 3. The Council has determined that the proposed use is in harmony with the general purpose and intent of the Zoning Ordinance and the Comprehensive Plan. 4. The City Council finds a hardship exists due to the change in the placement of the building due to an easement and therefore reducing the area available for truck turnaround. CONCLUSION RECOMMENDATION: The City Council hereby approves the variance with the following conditions: 1. A joint ownership document for the stormwater pond must be executed prior to approval by the City Council. 2. The permanent easement must include a shared driveway to act as access from Michigan Avenue for both the property in question and the property to the south. Adopted by the City Council this 24' day of October, 2000. ATTEST: Gary D. Plotz Citv Administrator Marlin D. Torgerson Mavor `t hail HUTCHINSON PLANNING COMMISSION October 17. 2000 • 1. CALL TO ORDER 5:30 P.M. The meeting was called to order by Chairman Arndt at 5:32 p.m. with the following members present: Jason Olsen, Dean Kirchoff, Jim Haugen and Brandon Fraser. The following members were absent: Jeff Jones and Dave Wesdund. Also present: Julie Wischnack, AICP, Director of Plan ning/Building/Zoning; Holly Kreft, Planning Coordinator and Richard Schieffer, City Attorney. 2. CONSENT AGENDA Mr. Haugen moved to approve the minutes as submitted. Mr. Olsen seconded the motion. Motion carried. 3. PUBLIC HEARINGS a) CONSIDERATION OF A CONDITIONAL USE PERMIT FOR AN 18'x 40' ADDITION AS REQUESTED BY TRI- COUNTY WATER CONDITIONING INC. (325 3RD AVE NW) Chairman Arndt opened the hearing at 5:35 p.m. with the reading of publication #6242 as published in the Hutchinson Leader on Thursday, October 5, 2000. Ms. Wischnack explained the request including a site plan showing the proposed addition. She added that a previous addition was done in 1997, and that this addition allowed an eight -foot setback from the right -of -way of Highway 7. She also explained that this property was in a C -5 district which had only recommended setbacks. Ms. Wischnack also added that the parking area did appear to be sufficient, but that the parking lot was paved into the right -of -way of 3r Avenue. • Ms. Wischnack stated that staff did recommend denial of the permit because, with the proposed addition, nearly 80% of the lot would have an impervious surface. She added that drainage was a concern because of the property's proximity to the highway and the Crow River and Highway 7. She added that if the Planning Commission wished to approve the permit that staff would like to see conditions attached. Mr. Kirchoff questioned if the impact of the reconstruction of Hwy 7 was discussed during the 1997 conditional use permit hearing. Donald Hantge, property owner, stated that it was, but that a timeframe had not been determined at that time. Mr. Haugen questioned if it had been determined where MNDOT would be purchasing property. Ms. Wischnack replied that it would depend on the design guidelines and the location of the building. Mr. Arndt questioned how the stormwater management would happen since there was not an area for ponding to be constructed. Ms. Wischnack replied that the drainage would need to be controlled on the site, possibly by the construction of a swale on the eastern edge of the property. Mr. Olsen questioned if the drainage had been discussed at the previous public hearing. Mr. Hantge replied that it had not since most of the water is directed to the west side of the building. Mr. Haugen questioned if there was going to be a problem removing the existing driveway from Highway 7. Mr. Hantge replied that there was not a problem, since the traffic often consisted of people using it a through street. Mr. Olsen questioned if Mr. Hantge had met with his neighbors. He replied that he had, and that they were agreeable to the project. Mr. Kirchoff moved to close the hearing at 5:47 p.m. Mr. Haugen seconded the motion. The motion to close the hearing carried unanimously. Mr. Kirchoff moved to approve the conditional use permit with staff options for conditions. Mr. Haugen • moved to second the motion. The motion carried unanimously with the following conditions: 1. Removal of access from Hwy 7 West; 2. A stormwater management plan shall be submitted prior to the issuance of a building permit; and 3. An approval does not deem that there will not be a potential building impact as a result of the highway project. 4-0- Minutes Planning Commission — October 17, 2000 Page 2 b) CONSIDERATION OF A CONDITIONAL USE PERMIT TO GRADE AND FILL IN THE FLOODPLAIN OF THE SOUTH FORK OF THE CROW RIVER FOR THE CONSTRUCTION OF THE VETERAN'S • MEMORIAL PARK AS REQUESTED BY THE CITY OF HUTCHINSON (295 1 sT AVE NE) Chairman Arndt opened the hearing at 5:49 p.m. with the reading of publication #6243 as published in the Hutchinson Leader on Thursday, October 5, 2000. Ms. Kreft presented the request and displayed the site plan. She stated that approximately 2,000 cubic yards of fill was needed for the construction of the parking lot and concrete pad for the display tank. She added that the parking appeared to be sufficient. Mr. Arndt questioned if silt fencing was necessary since a berm would be in place. Staff replied that the silt fencing would be needed while the pond was being constructed. Mr. Haugen asked what the time frame for construction was. Staff replied that the timeframe was not yet determined. Mr. Kirchoff questioned from what location the fill was being relocated. Staff replied that there were numerous projects with excess fill available. Mr. Kirchoff moved to close the hearing at 5:53 p.m. Mr. Olsen seconded the motion. The motion carried unanimously. Mr. Olsen moved to approve the conditional use permit with the following conditions: 1. The City Engineer must submit a letter documenting there is not a flood storage impact; 2. Silt fencing be present throughout construction and not be removed until vegetation has been restored; and 3. A submission from the DNR must be received. Mr. Haugen seconded the motion. Motion carried unanimously. c) CONSIDERATION OF A VARIANCE TO REDUCE THE REQUIRED SETBACK FROM 10' TOO' FOR THE EXPANSION OF A PARKING LOT AS REQUESTED BY HILLYARD INC. (26 MICHIGAN ST SE) • Chairman Arndt opened the hearing at 5:54 p.m. with the reading of publication #6244 as published in the Hutchinson Leader on Thursday, October 5, 2000. Ms. Kreft presented the request and displayed a site plan with a rendition of the driveways and potential future building. She stated that Hillyard Inc. needed to reduce the setback in order to accommodate truck traffic for a turn around area. She added that the building had to be moved south from the original position in order to allow for an electrical easement. Mr. Kirchoff questioned if the two access points were too close together. Staff replied that the southern access would be used mainly for truck traffic. Ms. Kreft added that the southern lot would most likely have a main entrance from 2n Avenue SE. Mr. Arndt questioned if parking would be needed. Ms. Kreft replied that the existing parking did meet the requirements. Mr. Kirchoff questioned if the cost of the additional access would be paid by the southern lot. Ms. Kreft replied that currently the lot was owned by Hutchinson Community Development Corporation and that the cost would be determined by them. Mr. Haugen moved to close the hearing at 6:00 p.m. Mr. Fraser seconded the motion. The motion to close the hearing carried unanimously. Mr. Fraser moved to approve the variance with the conditions recommended by staff. Mr. Haugen seconded the motion. The motion to approve, with the following conditions: 1. A joint ownership document for the stormwater pond must be executed prior to approval by the City Council, and 2. The permanent easement must include a shared driveway to act as access from Michigan Avenue for both the property in question and the property to the south, carried unanimously. d) CONSIDERATION OF A VARIANCE TO REDUCE THE REQUIRED SETBACKS FOR THE PLACEMENT OF A MANUFACTURED HOME AS REQUESTED BY JEFF MUNSELL (COUNTRY 40 CLUB TERRACE — 448 CALIFORNIA ST NW — LOT 100) Chairman Arndt opened the hearing at 6:01 p.m. with the reading of publication #6245 as published in the Hutchinson Leader on Thursday, October 5, 2000. Ms. Wischnack gave the history of request. She stated that the City did not required site plans as part of the manufactured home permit. She added that the neighbors had complained of the proximity of the 64inutes Planning Commission — October 17, 2000 Page 3 manufactured homes to the boundary of the mobile home park. Ms. Wischnack explained that legal staff advised the City to allow the manufactured home to be placed, but that the property owner apply for a variance. She added that the property owner's attorney had sent correspondence to the City regarding Statute 462.357 which states that mobile home parks created prior to 1995 must only meet the setbacks at that time and are not subject to more stringent ordinances in effect after their creation. Staff then researched previous ordinances and determined that the 1968 ordinance did address setbacks for mobile home parks. It was also determined that the mobile home park was created after 1968. Ms. Wischnack explained that the mobile home park was surrounded by R -2 and R -3 zoning districts. She also explained that the lots were not platted lots and that the property actually consisted of 3 separate parcels. She added that staff had originally thought of changing the ordinance to exempt existing mobile home parks, but that it could not be done because of the state statute. She added that staff would like direction from the Planning Commission as how to handle future requests. Mr. Arndt question if this "lot" was the standard size. Ms. Wischnack replied that it was. Mr. Fraser questioned if there was any jurisdiction since the lots are not platted, and if the building code setbacks and the boundary setbacks are the only ones that should be enforced. Mr. Schieffer stated that he would prefer to see the applicant apply for "blanket' variances, which would encompass all three parcels, rather that dealing with them on a case -by -case basis. Mr. Arndt questioned if the new manufactured home was larger than the previous one. Mr. Jeff Munsell, property owner, stated that it was not larger, but that it had been placed closer to the street. Mr. Kirchoff questioned if the Planning Commission should be concerned about the setbacks regulations health and safety. Ms. Wischnack replied that those were usually not a concern because they were met. Mr. Olsen questioned what other cities had for regulations. Ms. Wischnack replied that she had contacted other cities, but that they rarely had replacements of the manufactured homes. Don Holmquist, 428 California St. NW, stated that he would voice his concems at the next public hearing. He did stated that his main concerns were refuse, pedestrian traffic and noise. He added that he would like to see a more permanent barrier such as a fence placed around the boundary of the mobile home park. Mr. Amdt questioned what the options were for the Planning Commission. Mr. Schieffer replied that since an application had not been submitted, the applicant would need to submit an application either for this structure or for the "blanket' variances. Ms. Wischnack stated that staff would like to see either application as soon as possible since this was an enforcement action. Mr. Munsell stated that he would like to discuss the issues with his partners prior to making the application. Ms. Wischnack reminded him that the deadline is always the third Wednesday of the month. She also added that staff would like to have a boundary survey showing the end placement of the units as part of the application. Mr. Kirchoff questioned what, if anything, could be done about the screening. Ms. Wischnack stated that she was unsure as to the original intent of the Russian olive trees currently in place. Mr. Haugen moved to close the hearing at 6:40 p.m. Mr. Kirchoff seconded the motion. Motion carried unanimously. The Planning Commission reminded Mr. Munsell that he would need to provide a boundary survey as part of his application. 4. NEW BUSINESS 5. OLD BUSINESS a) CONSIDERATION OF AMENDMENTS TO REGULATIONS REGARDING TELECOMMUNICATION • TOWER AND ANTENNA (SECTIONS 3 AND 10 OF THE CITY OF HUTCHINSON ZONING ORDINANCE) Mr. Jason Hall, zoning representative from American Tower, was present to answer questions and provide comments on the tower ordinance. He stated that he felt the ordinance was well- written and thorough. He added that he did have some suggestions for changes. These included changing Subdivision 11, subparts 1) A and B because the detailed plans are usually not available at the time of Minutes Planning Commission — October 17, 2000 Page 4 application, but usually later in the process. He also added that subpart D was covered by FCC regulations, and would not necessarily be included. Mr. Schieffer questioned if the expense was too high to provide those documents at that time. Mr. Hall replied that usually the company would like to have an indication as to whether or not the conditional use permit was going to be approved before supplying the detailed plans. He added that the general plans would be available at the time of application. Mr. Haugen questioned if the Planning Commission should address any concerns regarding migratory birds. Mr. Hall replied that the FCC did govern tower placement as to migratory bird flight patterns. Mr. Fraser questioned what is future of the telecommunications field. Mr. Hall replied that the estimates ranged from 25 years to 500 years before satellites will replace land -based towers. He added that at this time satellite coverage was not cost effective. Mr. Haugen moved to recommend approval of the amendments to the ordinance with minor changes as provided by legal staff and suggestions by Mr. Hall. Mr. Kirchoff seconded the motion. Motion to approve carried unanimously. COMMUNICATION FROM STAFF Ms. Wischnack updated the Commission as to the status of Frank Fay annexation request. She stated that the City Council made no decision; and therefore, the petition would be sent back to the Office of Boundary Adjustments for arbitration. ADJOURNMENT • There being no further business, Mr. Kirchoff moved to adjourn the meeting at 7:33 p.m. Mr. Olsen seconded the motion. Motion carried. 0 October 13, 2000 0 To: Honorable Mayor and City Council From: John Olson, Asst Public Works Du. CC: John Rodeberg, Dir of Engr% Pub Wks Subject AIRPORT FARM LEASE Your agenda will include a lease document for farm fields on airport property. The lease will provide $7,716 in revenues over five years. This lease is beneficial in many other ways as well: a) Provides a place for biosolids to be deposited b) The 24.5 acres does not need to be mowed by City employees c) Vegetation will be kept below the level of the nmwav surface, as required. The 24.5 acres, located on the west side of the runway, have been fumed as a hay crop for the last several years. The Wastewater Treatment Facility uses these fields to deposit biosolids at various times during the year. This agreement provides for the fields to be replanted during the nest two years and continues to provide a place for biosolids to be deposited. It was considered a priority to maintain the fields as hay crop only, considering their proximity to the runway. Mr. Kirkpatrick has farmed these fields in the past. He has taken on the responsibility for tilling and seeding the fields, instead of those functions being the responsibility of City employees. Accept the agreement for leasing farm fields located on airport property to Mr. David Kirkpatrick. • Y"—ft' F.A3-M LEASE AGREEIv= THIS LEASE AGREEMENT, made this day of by and between the City of Hutchinson, a Minnesota Municipal Corporation, ( "City' , and David Kirkpatrick, 16918 Co Rd 7, Hutchinson, NIN 55350, ( 'Tenant ). • a••q•Y ,.,. ••�•Y • 1J •• ���. • O' �� M •LY.�•, • L�l ,• promises hereinafter described the following property located in the County of McLeod and State of Minnesota, described as follows: (See Exhibit A) The property contains 24.5 tillable acres, more or less. 2. ICIIn- The term of this Lease is for 5 years commencing on the 19 day of November, 2000 and terminating on the last day of October, 2005. 3. R= At the tenant's option, periodic payments may be made, providing full payment is received by November 15 of each year. For and during the tern of this Lease the following sums are payable by November 15 each year as follows: 2001: $1,225 2002 $1,225 2003: $1,837 2004: $1,837 2005: $1,592 Rent shall be paid at Hutchinson City Center, 111 Hassan St SE, Hutchinson, Minnesota and credited to appropriate accounts. Rent is calculated on 24.5 acres, as calculated by the City using Geographic Information system ... • • _ Negotiated credits or disputes regarding tillable acres available are to be negotiated by the tenant and the City's Assistant Public Works Director. 1 I � i d. Cag Responsibiliti Ciro shall be responsible for paving or doing the following. • al The City's Wastewater Department shall purchase seed for alfalfa or other suitable hay crop, for use by the tenant, as determined by agreement between the tenant and the City's Wastewater Department. b) The Citv's Wastewater Department shall cooperate with the tenant to the fullest extent possible to coordinate the application of biosolids from the City's Wastewater Treatment plant c) The Citys Wastewater Department shall comply with all local, state, and federal regulations pertaining to the application of biosolids. 5. Te =t Responsibilities Tenant shall be responsible for paying or doing the following: a) For the growing years 2001 and 2002, fields identified by the tenant and the City's Wastewater Department shall be tilled and re- seeded with alfalfa or other suitable hay crop. The tenant, in coordination with the City's Wastewater Department, shall determine which type of hay crop. b) .1ny applications of fertilizer by the tenant shall be coordinated with the City's Wastewater Department The tenant shall not exceed quantities of fertilizer determined by the Wastewater Department c) The tenant shall pay rent in timely manner and keep the premises free of noxious weeds to the extent possible. • y d) The tenant shall coordinate with, and allow at the City Wastewater Department's discretion, the application of biosolids from the City's Wastewater Treatment Plant on fields leased by the tenant e) The tenant shall acquire and maintain insurance in adequate amounts for liability for the tenant's operations on the premises. The tenant, while performing any function related to this Lease, agrees to indemnify, save and hold harmless, and defend the City and all its agents and emplovees from any and all claims, demands, actions, or causes of action of whatever nature ausing out of or reason of the operations of the tenant ti. ARsiigument Prohibited. Tenant agrees not to assign or sublease the leased premises without the written consent of the City. 7. $ . If the tenant fails to pay the rent when due, or fails to perform any of the promises herein contained, the City may, after furnishing the Tenant with a thirty (30) day notice specifying the default, re -enter and take possession of the above property and hold or enjoy the same without such re- entering working a forfeiture of the rents to be paid by the Tenant for the full term of the Lease. u 8. Quiet Enjoyment The City promises that the Tenant shall peaceably and quiedy have, hold, and enjoy the leased property for the term of this Lease provided Tenant pays the rent and performs the promises described in Paragraph 5 above. 9. This Lease Agreement shall be binding upon the parties hereto and their heirs, successors and assigns. IN TESTIMONY WHEREOF, the City and Tenant have set their hands as of the day and year first above written. CITY OF HUTCHINSON DAVID KIRKPATRICK By: Marlin Torgerson Its Mayor By • Cri[y Plotz Its City Administrator By. David Simons Its Wastewater Department representative By. John Olson Its Airport representative 3 • Exhibit A Agricultural Property Described as: 03 s T • S Field A 3.6 acres No charge Field B 10.0 acres $50, $50, $75, $75, $65 per acre Field C 63 acres $50, $50, $75, $75, $65 per acre Field D 20 acres $50, $50, $75, $75, $65 per acre Field E 6.3 acres $50, $50, " $75, $75, $65 per acre Rounding (0.1) acres TOTAL 24.5 acres (more or less) $50, $50, $75, $75, $65 per acre 2001: $1,225 Due in full by November 15, 2001 2002 $1,225 Due in full by November 15, 2002 • 2003: $1,837 Due in hill by November 15, 2003 W04: $1,837 Due in full by November 15, 2004 2005: $1,592 Due in Full by November 15, 2005 Properties are located in McLeod County, Lynn Township (T115N), Range 30 W, NE '/. of Section 13 and are identified on the attached map. • 4 \\ 34.1 ac. Field #2 - I \8.0 ac. I \ EDMO AVE. ac. \ \ n \ F- \ CnI I �I I 15.1 ac. I I Field #5 I I 1 ~ I I I y 5.9 ac. , I 1 0 r Fldd g4 ' F • • 1.0 I CC. NET 3. I � y I 1 + 9.7 ac. 13.0 ac. Field a3 1.9 ac. I 30.1 ac. 17.7 as 1 I\ I \\ Memorandum TO: Mayor and Council FROM: Gary Plotz, City AdministratorAq- Directors Brenda Ewinuman Resources Coordinator RE: Job Evaluation and Compensation Plan DATE: October 18, 2000 At the regular meeting of September 26, 2000, the City Council officially received the recommendation from Stanton Group regarding the implementation of a new job evaluation and compensation system for the City of Hutchinson. Since that time, staff has been working to further refine the consultant's recommendation for presentation to the Council. As you are aware, the process to complete the project for the proposed evaluation and compensation plan included the following key elements: • Employee Involvement - meetings, questio and interviews • Evaluation of all positions • Classification of all positions • Market analysis of benchmark positions • Pay Equity Compliance • Performance -based pay element It is the consensus of the management team that the implementation of the plan presented by the Stanton Group is beneficial to the City of Hutchinson and will result in a classification and compensation framework for the City that: • Establishes sound internal equity • Recognizes the market from which the City recruits • Enables a mechanism to move employees to an established job rate • Allows the City the flexibility to reward outstanding performance Memorandum Page 2 October 18, 2000 The specifics of the job evaluation and compensation plan implementation recommended by staff inlcude the following: • Implementation of the plan on January 1, 2001 • Eight step pay plan that combines a traditional step plan to market rate (steps 1 -6) and a merit element over market rate (steps 7 and 8) for exceptional performers • 3.4% annual adjustment has been incorporated into the pay grid • No employee's direct compensation will decrease • Pay rates for employees above step 7 (105% of the market rate) will be frozen until the pay grid reaches their rates - Applicable to 4 employees • For most employees, placement on pay grid is based on a minimum 4% pay increase - Exceptions are employees at or above market rate, or those within 4% of the market rate • City reserves the right to withhold increases In regards to exceptional service pay, it is proposed that the pay rates for the twelve employees above market rate but below step seven be placed on step seven if their performance so warrants. These are the only performance based exceptional service pay increases or lump sum payments proposed for calendar year 2001. In 2002, it is anticipated that forty-nine employees will be at or above market rate and, therefore, eligible to be considered for exceptional service pay only if they exhibit outstanding job performance. The criteria for future exceptional service pay are to be detemrined and such increases will only be granted when warranted and are expected to be more the exception than the rule. It is, therefore, requested that the Mayor and Council consider the adoption of the Job Evaluation and Compensation Plan as outlined previously in this memorandum. Copies of the proposed plan are being distributed individually to the Council members for review. The intended plan of action, dependent upon adoption by the Council, includes communication of the implementation of the Job Evaluation and Compensation Plan to all employees and employee groups immediately upon adoption. If you have any questions regarding this information and recommendation, please contact Gary Plotz or Brenda Ewing at City Center. Enc. CITY OF HUTCHINSON MEMO Finance Department October 20, 2000 TO: MAYOR & CITY COUNCIL FROM: KEN MERRILL, FINANCE DIRECTOR SUBJECT: SEPTEMBER 2000 FINANCIAL REPORT Attached are General Fund and Liquor Store Reports for September. I would like to take a few minutes if you have any questions and also update you on the financial conversion. Is �-d I 2000 CITY OF HUTCHINSON FINANCIAL REPORT 2000 SEPTEMBER 1999 2000 2000 2000 2000 SEPTEMBER REVENUE REPORT - GENERAL SEPTEMBER SEPTEMBER �ONTHLY OVER (UNDER) YEAR TO ADOPTED BALANCE PERCENTAGE MONTH MONTH BUDGET BUDGET DATE ACTUAL BUDGET REMAINING USED TAXES 0.00 0.00 154,370.67 (154,370.67) 931,507.12 1,852,448.00 920,940.88 5029% LICENSES 90.00 7,110.00 2,883.33 4,226.67 29,695.00 34,600.00 4,905.00 85.82% PERMITS AND FEES 28,837.19 18,023.72 20,516.67 (2,492.95) 264,260.93 246,200.00 (18,060.93) 107.34% INTERGOVERNMENTAL REVENUE 6,584.25 56,735.89 207,511.08 (150,775.19) 1,201,782.76 2,490,133.00 1,288,350.24 48.26% CHARGES FOR SERVICES 53,359.81 51,933.54 96,648.42 (44,714.88) 579,832.53 1,159,781.00 579,948.47 50.00% FINES 8 FORFEITS 6,149.21 5,443.66 5,000.00 443.66 42,786.88 60,000.00 17,213.12 71.31% INTEREST 7,851.91 3,021.86 4,250.00 (1,228.14) 94,651.80 51,000.00 (43,651.80) 185.59% SURCHARGES - BLDG PERMITS 1,188.83 (3,401.85) 41.67 (3,443.52) 732.31 500.00 (232.31) 146.46% CONTRIBUTIONS FROM OTHER FUNDS 500.00 9,400.00 101,662.50 (92,262.50) 404,750.32 1,219,950.00 815,199.68 33.18% REIMBURSEMENTS 13,932.22 42,944.65 9,060.42 33,884.23 108,482.97 108,725.00 242.03 99.78% SALES 0.00 0.00 1,500.00 1,500.00 TOTAL 118,493.42 191,211.47 601,944.75 (410,733.28) 3,658,482.62 7,224,837.00 3,566,354.38 50.64% 1 J 2000 CITY OF HUTCHINSON FINANCIAL REPORT 2000 SEPTEMBER 1999 2000 2000 2000 2000 SEPTEMBER EXPENSEREPORT - GENERAL SEPTEMBER SEPTEMBER MONTHLY OVER (UNDER) YEAR TO ADOPTED BALANCE PERCENTAGE MONTH MONTH BUDGET p BUDGET DATE ACTUAL BUDGET REMAINING USED MAYOR & COUNCIL 2,776.67 11,293.36 4,983.25 6,310.11 42,929.36 59,799.00 16,869.64 71.79% CITY ADMINISTRATOR 15,097.20 16,209.21 17,142.83 (933.62) 156,628.79 205,714.00 49,085.21 76.14% ELECTIONS 23.37 3,092.45 1,058.33 2,034.12 3,478.92 12,700.00 9,221.08 27.39% FINANCE 15,173.31 18,518.58 28,981.17 (10,462.59) 248,100.73 347,774.00 99,673.27 71.34% MOTOR VEHICLE 10,362.67 11,519.92 12,157.75 (637.83) 107,355.18 145,893.00 38,537.82 73.56% ASSESSING 31,310.00 0.00 2,758.33 (2,758.33) 0.00 33,100.00 33,100.00 0.00% LEGAL 7,323.57 11,306.90 7,708.33 3,598.57 75,455.01 92,500.00 17,044.99 81.57% PLANNING 11,166.48 10,448.91 10,048.58 400.33 95,266.66 120,583.00 25,316.34 79.01% INFORMATION SERVICES 0.00 5,241.88 5,140.17 101.71 46,733.60 61,682.00 14,948.40 75.77% POLICE DEPARTMENT 137,756.30 133,070.89 139,477.67 (6,406.78) 1,323,731.72 1,673,732.00 350,000.28 79.09% SCHOOL LIAISON OFFICER 4,874.21 6,674.21 8,911.17 (2,236.96) 53,757.02 106,934.00 53,176.98 50.27% EMERGENCY MANAGEMENT 10.65 1,659.58 333.33 1,326.25 3,868.92 4,000.00 131.08 96.72% SAFETY COUNCIL 0.00 0.00 20.83 (20.83) 0.00 250.00 250.00 0.00% FIRE DEPARTMENT 93 ,075.24 66,445.37 22,567.08 43,878.29 186,388.07 270,805.00 84,416.93 68.83% PROTECTIVE INSPECTIONS 12,133.89 15,334.67 12,496.42 2,838.25 116,324.87 149,95700 33,632.13 77.57% ENGINEERING 30,146.83 25,960.85 30,291.00 (4,330.15) 279,737,60 363,492.00 83,754.40 76.96% STREETS 8 ALLEYS 47,937.50 37,975.60 55,288,67 (17,31107) 463,574.77 663,464.00 199,889,23 69,87% STREET MAINTENANCE A/C 11,892.06 16,373.25 8,735.00 7,638.25 144,769.81 104,820.00 (39,949.81) 138.11% CITY HALL 10,785.49 11,034.07 8,909.50 2,124.57 96,278.72 106,914.00 10,635.28 90.05% PARK/REC ADMIN. 10,290.88 10,922.08 13,155.33 (2,233.25) 115,889.08 157,864.00 41,974.92 73.41% RECREATION 10,206.57 10,343.86 18,371.83 (8,027.97) 173,175.44 220,462.00 47,286.56 78.55% SENIOR CITIZENS CENTER 7,279.22 8,958.33 8,556.92 401.41 63,322.88 102,683.00 39,360.12 61.67% CIVIC ARENA 11,790.70 7,851.85 19,960.67 (12,108.82) 176,697.02 239,528.00 62,830.98 73.77% PARK DEPARTMENT 58,165.43 52,250.62 60,051.83 (7,801.21) 580,151.21 720,622.00 140,470.79 80.51% RECREATION BUILDING 8 POOL 5,698.18 12,687.01 8,539.17 4,147.84 92,32158 102,470.00 10,146.42 90.10% LIBRARY 23,132.66 23,436.08 9,734.67 13,701.41 104,727.91 116,816.00 12,088.09 89.65% CEMETERY 6,667.31 16,979.36 8,227.50 8,751.86 123,935.79 98,730.00 (25,205.79) 125.53% DEBT SERVICE 3,384.52 2,684.52 7,806.08 (5,121.56) 81,807.41 93,673,00 11,865.59 87.33% AIRPORT 2,970.35 _ 4,719.39 4,812.50 (93.11) 46,694.93 57,750.00 11,055.07 80.86% TRANSIT 12,375.13 0.00 0.00 0.00 32,525.52 0.00 (32,525.52) UNALLOCATED 75,450.76 39,215.38 65,843.83 (26,628.45) 279,478.43 790,126.00 510,647.57 35.37% TOTAL 669 ,257.15 592,208.18 602,069.75 (9,861.57) 5,315,108.95 7,224,637.00 1,909,728.05 73.57% 0 0 • • • (191.211. 37) 0.00 2000 CITY OF HUTCHINSON FINANCIAL REPORT SEPTEMBER 1999 2000 2000 REVENUE REPORT - GENERAL SEPTEMBER SEPTEMBER MONTHLY OVER (UNDER) YEAR TO ADOPTED BALANCE PERCENTAGE MONTH MONTH BUDGET tl BUDGET DATE ACTUAL BUDGET REMAINING USED TAXES 0.00 0.00 154,370.67 (154,370.67) 931,507.12 1,852,448.00 920,940.88 50.29% LICENSES 90.00 7,110.00 2,883.33 4,226.67 29,895.00 34,600.00 4,905.00 85.82% PERMITS AND FEES 28,837.19 18,023.72 20,516.67 (2,492.95) 264,260.93 246,200.00 (18,060.93) 107.34% INTERGOVERNMENTAL REVENUE 6,564.25 56,735.89 207,511.08 (150,775.19) 1,201,782.76 2,490,133.00 1,288,350.24 48,26% CHARGES FOR SERVICES 53,359.81 51,933.54 96,648.42 (44,714.88) 579,832.53 1,159,781.00 579,948.47 50.00% FINES & FORFEITS 6,149.21 5,443.66 5,000.00 443.66 42,786.88 60,000.00 17,213.12 71.31% INTEREST 7,851.91 3,021.86 4,250.00 (1,228.14) 94,651.80 51,000.00 (43,651.80) 185.59% SURCHARGES - BLDG PERMITS 1,188.83 (3,401.85) 41.67 (3,443.52) 732.31 500.00 (232.31) 146,46% CONTRIBUTIONS FROM OTHER FUNDS 500.00 9,400.00 101,66250 (92,262.50) 404,750.32 1,219,950.00 815,199.68 33.18% REIMBURSEMENTS 13,932.22 42,944.65 9,080.42 33,884,23 108,462.97 108,725.00 242.03 99.78% SALES .0.00 0.00 0.00 0.00 0.00 1,500.00 1,500.00 0.00% TOTAL 118,493.42 191,211.47 601,944.75 (414733.28) 3,658,482.62 7,224,837.00 3,566,354.38 50.64% Gurral Govt 104,018.76 98,665.28 88,888.25 (222.97) 872,226.97 1,186,659.00 314,432.03 73.50% Pubic Safety 247,850.29 223,184.72 183,806.50 39,378.22 1,684,070.60 2,205,678.00 521,607.40 76.35% Strests & Alleys 89 ,976.39 80,309.70 94,314.67 (14,004.97) 888,082.18 1,131,776.00 243,693.82 78.47% Parks 6 Recreation 128,563.64 126,449.83 138,370.42 (11,920.59) 1,306,287.12 1,660,445.00 354,157.88 78.67% Mlscaiuuam 100,848.07 63,598.65 86,689.92 (23.09127) 564,442.08 1,040,279.00 475,836.92 54.26% TOTAL 669 ,257.15 592,2(18.18 602,069.75 (9,861.57) 5,315,108.95 7,224,837.00 1,909,728.05 73.57% CITY OF HUTCHINSON 20 -Oct -00 MUNICIPAL LIQUOR DISPENSARY UNAUDITED - 2000 SALES LIQUOR WINE BEER MISCELLANEOUS QUANTITY DISCOUNTS TOTAL COST OF SALES GROSS PROFIT September 2000 664,242.39 • 242,708, 19 1,282,220.50 87,100.46 (27,513.79) 2,248,757.75 1, 747, 514.56 501,243.19 22.29% OPERATING EXPENSE SALARIES EMPLOYEE BENEFITS OPERATING SUPPLIES OFFICE SUPPLIES CLOTHING & PERSONAL EQUIPMENT LOGIS - COMPUTER OPERATIONS MAINTENANCE - SUPPLIES SMALL TOOLS DEPRECIATION COMMUNICA UTILITIES MAINTENANCE & ALARM & CONSULTING PRINTING GENERAL LIABILITY INSURANCE TRAVEL, SCHOOL & CONFERENCES ADVERTISING DUES & SUBSCRITIONS RENTALS MISC. TOTAL OPERATING EXPENSE OPERATING INCOME OTHER REVENUES /EXPENSES MISC. - Lottery Sale of Property Contributions & Donailons INTEREST - INCOME INTEREST - EXPENSE TOTAL OTHER NET INCOME TRANSFER TO GENERAL FUND 6.66% 149,748.64 1.31% 29,487.99 8,605.74 36.07 0.00 0.00 1,073.01 0.00 20,700.00 2,388.05 11,933.34 14,746.42 288.87 7,313.496 1,457.6 25,064.93 726.95 80.10 650.90 135, 589.76 274, 322.13 10.09% 226,921.06 2,372.02 0.00 534.70 6,750.13 (5,655.00) 4,001.85 230,922.91 0.00 • • 20- Oct -00 Institution Description Interest Rate CITY OF HUTCHINSON CERTIFICATES OF DEPOSIT September 30, 2000 Data Date Of Of Purchase Matunty Amount TREAS BONDS 644136 7.18% 12/12/91 2/15/2001 364,500.00 Smith Barney FHLB 6.50% 03 23 99 03 23 06 200,000.00 Smith Barney 313400 S H 7 7.17% 04/03/00 04/03/03 300,071.92 Smith Barney FHLB 6.500% 01 07 99 01 07 09 750,000.00 Smith Barney FHLB 3133m2 -u3 6.245% 02 23 99 02 23 09 300,000.00 Prudential pool 336914 7226% 1231 96 0201 2026 67,254.79 Expected Irfe 6.2 years Smith Barney FNMA 6.100% 01 2098 01 2005 300,000.00 Prudentail pool 336399 7.270% 1231 96 0201 2026 86,628.10 Expected Ile 4.1 years Citizens, Marquette 4.00% 04/25/96 06/01/2001 100,000.00 Firstate, First Minnesota Prudential Fed Home Laon 6.00% 01128199 01 2809 200 Smith Barney FNMA 6.13% 03110/99 03/10/06 500,000.00 Smith Barney FNMA pass thru 7.50% 12/20/95 06101102 44,805.08 Prudential Fed Home Loan 6.00% 10126/01 10126101 399,625.00 • Flrst 6.75% 05/12/00 10 /12/00 400,000.00 411258714 Marquette 29852 6.25% 09 1300 10 1200 400,000.00 Bremer 90381 6.250% 10 1200 11 1600 400,000.00 First Federal 6296 7.25% 08 1500 11 1600 400,000.00 Prudential FHL 5.79% 11 18 96 11 1805 199,750.00 Call 2118/99 and therafter Marquette 6.29% 0211 00 02 15 01 200,000.00 Smi0r Bamey Money Market 6.72% 08 1500 10 1200 1,313,103.36 First Federal 6379 7.500% 07 28 00 0731 01 200,000.00 Marquette 1231'305 7 -110% 0531 00 0531 01 400,000.00 First Federal 7.000% 09 14 00 09 17 01 1,000,000.00 Prudential 7.23% 0731 00 11 0806 200,000.00 Marquette 1231 '297 6.260% 01 2800 01 3001 1,000,000.00 $9,725,738.25 I J--T) Hutchinson Area Health Care Hutchinson Community Hospital • Burns Manor Nursing Home • Dassel Medical Center • Winsted Family Practice Clinic 1095 Highway 15 South Hutchinson, N N 55350 (320) 234 -5000 October 18, 2000 RECEMM OCT 19 2000 The Honorable Mayor Marlin Torgerson and City of HtrtctftM Members of the City Council Hutchinson City Center I l 1 Hassan Street SE Hutchinson, MN 55350 Dear Mayor Torgerson and City Council Members: The board of directors of Hutchinson Area Health Care (HAHC), as part of their regular meeting on October 17, 2000, considered two capital expenditure requests from staff that require city Council approval. The items requested are explained in the following excerpt from minutes of the meeting. " Vehicle replacement The Board reviewed a request for two capital expenditures to replace vehicles at the Hospital and Nursing Home. The first vehicle, a 1982 Bus, was used to transport Residents from Burns Manor to various sites for therapeutic recreation activities. Because of the condition of the Bus, we haven't transported Residents for quite some time. We have instead contracted with an independent transportation service. This has allowed us to provide a safer environment for our Residents and staff and also has • provided us with a driver who is skilled in the operation of this type of vehicle. The bus will be replaced with a full size two -wheel drive half -ton pickup that would be more suitable for the Nursing Home because the primary use for the Bus has been for maintenance and errand functions. The Bus currently has 173,042 miles on it and is in poor condition. The second vehicle to replace is a 4 -wheel drive -%: ton pickup truck at the Hospital. Our intent is to purchase a new 4 -wheel drive' /. quarter ton vehicle, with a plow. This pickup currently has 73,621 miles on it and is in deteriorating condition. The City has advised us that we can purchase both vehicles directly using a State contract. The budgeted amount for each vehicle is $27,500. ♦ Following discussion, motion was made by Peterson, seconded by Snapp, to request authority from the City Council to purchase replacement vehicles for the Hospital and Nursing Home. All were in favor. Motion carried. " Thank you, in advance, for consideration of these requests. Duane Hoversten will be able to address any questions you may have regarding these items at your meeting on Tuesday. Sincerely, Z CHON A A EALTH CARE Philip G. Graves President • /cs �1 OCT -19 -2000 11:38 AM LIQUOR.HUTCH 13203870870 P.01 i s H lc�ow�N 5b� 3M J20.S07.2762/Fm 320.73412 0 5 October W. 2060 TO: City Council FROM: Liquor Hutch Director Nell Wegner MEMO: Liquor Hutch Expansion The Liquor Hutch expansion project has reached a polnt where It Is now necessary to submit a bid to Nash Finch for the purchase of the additional square footage needed. Research is required to compile a bid on our first choice. This Includes the purchase of the former Mr. Movies footage and the extension of our south well by approximately 20 feet. This Is a request to pursue professional help in compiling a bid. We are asking the councils approval to obtain hourly roles and fees from area architects, so one may be selected to assist In the next step of the bidding process. 9 r.w W rwywwwv-• r, C • Hutchinson City Center 111 Hassan Stmt SE Hutchinson, MN 55350.2522 320.581- 51511Fa 320.234 -4240 Memorandum To: City Council From: Holly J. Kreft, Planning Coordinator Date: 10/17/00 Re: Setting Date for Canvassing Results Please be aware that the City Council will need to set a date for canvassing the results of the Special Election to held on November 7, 2000. Staff would recommend setting this date as November 8, 2000 at 12:00 p.m. • _ • C PriNd on rtryckd spec- —f Clarey's Safety Equipment, Inc. 3555 Ninth Street NW, Suite #200 Rochester, MN 55901 5071289 -6749 or 8001558 -8009 Fax 5071289 -5213 October 6th., 2000 City of Hutchinson 111 Hassan Street S.E. Hutchinson, Minnesota 55350 -2522 Dear Chief, Brad Emans; This letter is included with our Pierce bid proposals in case the City of Hutchinson, Minnesota would elect to prepay any portion of the purchase of these Pierce units. Pierce Manufacturing, Inc. will pay 7% interest on any prepay portion of this purchase. We offer this special interest rate to you, as some other manufactures require prepayment. Our prepayment interest rate of 7 %, should you decide to consider this option is merely an elective for the City of Hutchinson. Again as always, thank you very much for your valued consideration of our Pierce Manufacturing, Inc. bid. If I may personally be of any further help or assistance, please give me a call toll -free at your conveneince. My Rochester, Minnesota office number is $1- (800)- 558 -8009. Sincer 6 1 /,x" / Pre dent Safety is our Business Visit our web site at www.clareys.com E -Mail us at info@clareys.com T I C-OPy Q We Build Confidence Proposal For Furnishin PIERCE FIRE APPARATUS Is ++* * 0 6 r*+ M * 6 rte ** a r,r M * City of Hutchinson 111 Hassan Street SE Hutchinson, MN 533450 The undersigned is prepared to manufacture for you, upon an order being placed by you, for final acceptance by Pierce Manufacturing Inc., at its home office in Appleton, Wisconsin, the apparatus and equipment herein named and for the following prices: One (1) Pierce 100' Platform mounted on a Dash 2000 chassis with related equipment and one (1) Pierce Encore Rescue unit mounted on a Saber chassis with related equipment for the sum of ............. ..................:.;842,5 Said apparatus and equipment are to be built and shipped in accordance with the specifications hereto attached, delays due to strikes, war or international conflict, failures to obtain chassis, materials, or other causes beyond our control, not preventing, within 240 -270 calendar days 'after acceptatice O thereof at our office - at Appleton, Wisconsin; and to be i delivered to you at: City of Hutchinson, Minnesota The specifications herein contained shall form a part of the final contract, and are subject to changes desired by the Hutchinson Fire Department 0 October 16, 2000 Honorable Mayor and City Council The Hutchinson Fire Department shared city /rural rescue vehicle and the platform vehicle committees would like to bring their recommendation to you on Tuesday, October 24, 2000 for approval. If you feel that a workshop before the council meeting on this topic would be helpful please let me know as soon as possible so one can be scheduled. Thank you • • • RESOLUTION NO 11610 RESOLUTION OF SUPPORT TOWARD THE CAPITAL CONTRIBUTION OF THE HUTCHINSON EVENTS CENTER WHEREAS, the City of Hutchinson has been authorized to receive one million dollars of state funding for the acquisition and remodeling of property to be known as the Hutchinson Events Center. WHEREAS, the cost of acquiring the property and remodeling the space is budgeted at $2.8 million. WHEREAS, the Hutchinson City Council is committed to funding the project cost of $2.8 million. • NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON: That the City Council hereby commits the following resources to Hutchinson Events Center project: Hospital funds $1,000,000 State funds $1,000,000 City bond funds $ 800,000 $2,800,000 Adopted by the City Council on the 24"' day of October 2000. Mayor — Marlin Torgerson 0 City Administrator — Gary D. Plotz �— • RESOLUTION NO 11611 RESOLUTION OF SUPPORT TOWARD THE ANNUAL OPERATION OF THE HUTCHINSON EVENTS CENTER. WHEREAS, the City of Hutchinson has been authorized to receive one million dollars of state funding for the acquisition and remodeling of property to be known as the Hutchinson Events Center. WHEREAS, the City of Hutchinson operates many facilities and programs on the community's behalf. WHEREAS, the City of Hutchinson is committed to this specific project and further understands that the operational aspect of the Hutchinson Events Center comes under their authority. NOW, = THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON: That any and all operational aspects of the Hutchinson Events Center are the sole responsibility of the City of Hutchinson. Adopted by the City Council on the 24 day of October 2000. Mayor — Marlin Torgerson City Administrator — Gary D. Plotz is t -TI October 20, 2000 • To: Honorable Mayor & City Council From: John Olson, Asst. Public Works Director CC: Ken Merrill, Finance Director John Rodeberg, Dir. of Engineering /Public Works Subject: City- Sponsored Local Government Surplus Auction A tentative date, November 17 at 12:00 noon, has been set for a city- sponsored local government surplus auction. This auction is open to local government units including City of Hutchinson, Hutchinson Utilities, Hutchinson Schools, Ridgewater College, etc. Surplus equipment from all entities may be brought to an area between the Park Department maintenance facillity and the Adams Street bridge. Each entity is providing a listing of surplus property to be sold and will share in the cost of providing the auction accordingly. All entities will be responsible for the surplus property they bring. If any property is unsold, the entity responsible will be required to remove it from the City's site. • • A • Parks, Recreation & Community Education 900 Harrington Street SW Hutchinson. NIN 55350 -3097 310 - 587- 2975/F" 320 - 2344243 To: Mayor and City Council From: Mary Haugen — PRCE Operations Manager Date: October 18, 2000 Re: Mighty Ducks Grant Payment The final payment of the Minnesota Amateur Sports Commission "Mighty Ducks" arena grant program has been received. The total grant award from the state was $250,000. The original grant award back in 1998 was for the full amount but due to legislative issues, the grant has come to us in three separate payments; $125,000 in 1998, $66,500 in 1999, and finally, $58,500 in 2000. The arena building committee, consisting of city staff and members of Hutchinson • Hockey Association, have prioritized a list of remaining projects to complete the project- Here are the projects: 1. Interior and exterior painting of steel panels 2. Landscaping materials (labor, mulch and wood chips at city's expense) 3. Rubber flooring in lobby area and hallway 4- Epoxy /urethane floor coating — mezzanine 5. Heat reclaim for snow melt pit and water softener for ice making water Council action is necessary to authorize the city to transfer the $58,500 to Hutchinson Hockey Association so that they are able to complete the projects and to pay the invoices. The new ice arena has been a tremendous success in it first season. Its major impact has been to increase the available amount of ice time for our youth and allow them to participate in ice related sports at a reasonable hour. It also increases the opportunity for continued growth in our recreation programs. This year's ice time scheduling process has been made much less cumbersome due to is the availability of another ice surface. �— /—I Prm1¢d on nzydkd papa - Minnesota Department of Natural Resources 0 October 9, 2000 City of Hutchhum 0 0 Hutchinson City Council 111 Hassen Street SE Hutchinson MN, 55350 Dear Nonorable Mayor and City Council Members: I am writing to address a safety concern that has again been brought to my attention. The Minnesota Department of Natural Resources and the Hutchinson Area Safety Council would lice to request a crossing Signal at the intersection of Main Street and the Luce Line Trail. Due to the traffic congestion at this busy crossing there is real potential for an accident. I am aware that this crossing will be changed when improvements are made to the Main Street bridge, but feel that something needs to be done until such improvements occur. Tlanks for your consideration of this natter. Sincerely, TRAILS & WATER AYS Joe DeJaeghere Area Technician cDave Johnston 20596 HWY 7 HUTCHINSON MN 55350 OCT 112000 (320)2347616 DNR Infonnation: 612-296-6157. 1-800-766-60DO • 17Y:612- 296 - 5484,1- 800 -657 -3929 An Equal Opportunity Em Plover I1► Printed on Recycled Paper Containing a Who Values Dieeraity 40 Minimum of 10% PeruCanwmer Waste i^lyt. CITY OF HUTCHINSON POLICE SERVICES TO: Mayor and City Council FROM: Steve Madson, Director of Police/Emergency Management Servi John Rodeberg, Director of Engineering DATE: October 19, 2000 RE: Highway 15 Trail Crossing Regarding the recommendation from the Hutchinson Safety Council, both the Director of Engineering and Police / Emergency Management Services concur that the current Highway 15 Luce Line Trail Crossing is dangerous and needs some type of safety enhancement. However, to erect or install any type of warning devices at that location would create other safety concerns for motorists. Therefore, we would propose that the council allow staff to study possible alternatives and submit recommendations by December 1, 2000. /Ikg 2000 -01 -0011 e M, Iv. The August 17, 2000 meeting of the Pioneerland Library System Board was called to order at • 7:31 pm by Chair Harlan Madsen at the Willmar Public Library Meeting Room. Roil was taken with quorum of 19 signatories. The agenda was approved as mailed. Marleen Canfield motioned to approve the July 20, 2000 minutes. Second by Jack Johnson. Carried. Librarians Villa Lippert from the Lake Lillian/Raymond library and Pam Helgeson from the Dawson library were present to represent the Advisory Committee. Al Clouse presented for the Finance Committee. Al Clouse motioned to accept the June 2000 and July 2000 financial reports. Second by Marleen Canfield. Carried. Clouse expressed the committee's concern over the falling ratings of our insurance carrier, currently Reliance and suggest switch over to new carrier Gulf Co. They are not currently backed by the state pool but are working on this. Al Clouse motioned to switch over to Gulf Co. Second by Nancy Grussing. Carried. Ivey Vonderharr presented for the Personnel Committee. Applications have been received for the Bookkeeper/Human Resources position and interviews will begin next week. The committees looking at job descriptions were mentioned as well as the librarians still working on their job descriptlons. The idea of hiring a consultant to help in this area was mentioned. Ivey said that we are looking at combining the Lake Lillian and Raymond Head Librarians positions into a single position as in Spicer and New London. Pay /mileage for librarians attending board meetings for the Staff Advisory Committee was brought up. No need for new motion as is covered in paragraph 8 of July 20, 2000 meeting minutes. Also note that past Staff Advisory Committee minutes are included In our handouts. Ramona Berg -Perry presented for the Technology Committee. They reviewed the internet policy which will go to the Advisory Committee for review. The new fine policy was approved. Most head librarians agreed on the new fine schedule as presented. This will be implemented for a year to make sure costs are covered. The effective date of the new schedule is to be Sept 1, 2000 —Also approved setting up a separate Technology Budget for Beth Lunn to administer in conjunction with Director Houlahan. A copy of the Proposed Hardware, Software & Network Policy was presented for review. Will ask for approval next month. We must comply with licensing laws for software. Ramona Berg -Perry made a brief presentation for Ad Hoc Committee #1 working with the director on defining his position. They are also looking at responsibirity flow. Stacey Schuette made a brief presentation for Ad Hoc Committee #2 working with the contract staff on defining their positions and also looking at the communication flow within the system and how the system presents itself to the public. There was question on the purpose of the committees in doing job descriptions. They are not only for job descriptions. They're to work on streamlining the system, clarify positions within the system. The consultant, if we get one, would assist in establishing a point system for pay equity. Pam Helgeson presented for the Staff Advisory Committee. The staff is also looking at job descriptions. Librarians are doing daily logs to help with the process. They also addressed fines after a full staff meeting on Aug. 3. They looked into changing loan periods and will go to full staff with any recommendations. Some members are also working on an explanatory insert to send along with overdue notices. Old Business. Darlene Kotelnicki presented on the Strategic Plan. This is a state mandated Item that we must do. Darlene Koteinicki motioned to approve the timetable as presented. Second by Ramona Berg -Perry. Carried. Board members interested in serving on the Strategic Planning Team should let Kathy Matson or Darlene Kotelnicld know. r 1 LJ New Business. Darlene Kotelnicki requested a standard format for Policies. Copy to be forwarded to the Policy Committee. John Houlahan presented the pirectors report. He discussed orientation for new trustees and will • try to arrange before the next board meeting. He also discussed the Gates Foundation Grant Program, and MLTA as on the directors report handout. Other. Question of who is on SAMMIE. Currently AI Clouse, Theresa Hoepner and Herb Rotunda. The Policy committee to schedule a meeting prior to the Sept meeting. The meeting was adjourned ad 8:37 pm. Stacey Schuette Secretary • • WIUIUU 0 3:26 i PMM (A) (e) (A) 4B) AUG JULY AUG Change 2000 2000 1999 CY vs PY 5497,058 $496,821 $347,333 149,725 1,568,987 1,988,848 1,608,527 (49,560) 1,302,982 921,153 1,045,677 257,305 938,618 793,598 796,250 HUTCHINSON AREA HEALTH CARE Sheet 1,016,204 1,043,057 940,782 Comparative Balance As of August 31, 2000 172,478 101,341 174,948 (2,470) I 512,402 454,041 43,361 (A) 98,692 (B) (A) -(B) ' 88,985 83,872 AUG JULY AUG Change (9,862) ASSETS 2000 2000 1999 CY vs PY I ♦ n f71FR AND FUND BA LANCES Currant ASSata 1 Cash and h" nsnb - Operations 84,590,416 $4,637,361 $4,218,219 372.197 Current Liabilities Cu nert natlaitiM of 2 Cash and IrnaWllerts - S88- Insured 514,204 $574,117 543,989 (29,785) Long term debt 3 SuMOtal cash 6 hwesbiterds 85 ,104,620 $5, 211,475 $4,762.208 342.412 Accounts payable - trade EstinteNd contractual 4 Patlera/RSSiden! rscafvabks 13,885,720 13,939,741 9,953,298 3,932,422 sddernanbi-nat 5 ASoxanoae for bad dells (3,104,539) (3,005,894) (3,001.876) (102.983) Aom ed expenses - 6 Advancers and OOMradual allootancm (2689,511) (2,781,092) (1,604,802) (1,085,009) Saladss 7 TIM paBentimictont and giyd -party PTO 8 payor receivables $5,091,070 $8,172,955 $5,346,620 2,744,450 Interest 9 SW -Msued pnopams 10 Other receivables - rat 315,421 299,588 98,830 216,791 MN Caro tax payable 11 MvarllorMS 658,764 645,784 827,521 31,263 Deferred 9ai7aiies 12 Prepaid expe11860 199,726 126,664 201,140 (1,414) Defwmd revenue 13 Total Currant Assets S14,369,621 $14,456,487 $11,036,119 3,333,502 Total Current Liabilities 14 $6039877 36,028,1134 56,908,936 (869,059) 15 Irwesinwit n Jost Ventures 889,454 $89,454 $93,160 (3,706) PIW Assets 16 Lard $165,6911 $185,898 $165,696 0 17 &!dings 23 ,470,136 23,448,315 22,077,002 1,393,134 18 Amerada ed depredation (9,040,024) (8,960,733) (6,163,007) (857.017) Lora-farm Debt (less anent 19 Buildings Was dWWWtbn $14,430,112 $14,485,552 573,893,995 538,117 matu"lls) 20 Egrripeart 12,843,172 12,724,297 12,588,864 (23,512) 21 Aopnatete0 depreciation (9,037.284) (8.939,929) (8.779,709) (257,555) 22 Egrlpmert Was doprodMWn 53. 805. 908 83 ,784,368 $4,086,975 (281,067) 23 GeWc lstructim 6 aqul MOM 0 0 0 0 24 Conshction H pogrMS 42.893 59,337 420,088 (377,373) 25 Total Plain! AssMS $18444409 $18,494,983 318.668,732 (122,323) Fund balance Odrr Assefs 26 Dalarrad Marking costs 8102,078 8103,079 $115,349 (13,271) 27 Total Funds 839.045.439 539,172.837 536.720,296 2,325,143 Total Fads (A) (e) (A) 4B) AUG JULY AUG Change 2000 2000 1999 CY vs PY 5497,058 $496,821 $347,333 149,725 1,568,987 1,988,848 1,608,527 (49,560) 1,302,982 921,153 1,045,677 257,305 938,618 793,598 796,250 142,368 1,016,204 1,043,057 940,782 75,422 172,478 101,341 174,948 (2,470) 497,402 512,402 454,041 43,361 95,356 98,692 58.239 39,117 ' 88,985 83,872 28,328 60,657 (10,333) (5,167) (9,862) (471) $6,157,717 $6,034,417 $5,442,263 715,454 $14,662,327 814,555,495 514,668,644 (6,317) $18,225,395 818,482,925 816,609,389 1,618,008 839,045,439 839,172.337 838.720.296 2.325,143 FW4kfad Pam Ler9m 9119/00 26 PM FkW HUTCHOMN AREA HEALTH CARE Shaman( of Revenues and E>getqu Month and Period Ended August 31. 2000 Revenue 1 In patient revenue 2 Out Patient revenue 3 Resident Revenue 4 Total patlenWesidmt revenue Discounts 5 Govermental 8 Polley Discount 6 Free Care 7 Total deduction from revenue 8 Net patienttreafdenl revenue 9 011w operating revenues 10 Net operating revenue EXDensft 11 Salaries 12 Employee Bemft 13 Professional and Medkbl Fees 14 110fmks, Mhm Contract$ 6 Repairs 15 Food, Dugs d Supplies 16 Other expense 17 MSrelesota Care 18 Bad debt 19 Interest 20 Depreclatom 21 Total expenses Excess of net operating revenue 22 over (under) operating emenses 23 klve$81ent Moos to 24 Other nonopMWV avenue (net) 25 Total nortoperstinp revenue 26 Net Intone CURRENT MONTH 1,790,586 1,035,986 Over (Under) Budget -2.5% Actual Budget Ddlsrs Percent 81,805,685 $1,921,269 (8115,584) -0.0% 2,278,378 2,348,399 (70,021) -3.0% 405,781 459,671 (53,090) .11.5% $4,490,614 $1,729,539 (8238,695) -5.0% 1,790,586 1,035,986 (45,430) -2.5% 0 8,888 (6,660) - 100.0% 817,90588 $1,842,662 (552,098) -2.6% $2,700,276 $2,888,877 ($106,599) -6.5% 17,554 20,738 (3,074) -14.8% $2,717,942 $2,907,615 ($189,873) -0.5% $1,308,416 $1,285,025 $23,391 1.8% 299,334 299,701) (372) -0.1% 278,495 287,516 (3,020) -1.1% 133,398 165,130 (31,732) -19.2% 370,194 388,358 (18,164) 4.9% 87.263 97.106 (9.843) -10.1% 29,768 23,129 8.627 28.7% 44,890 44,961 (8) 0.0% 38,171 39,ea7 (516) -1.3% 154,180 160,417 (0,237) -3.9% $2745,103 $2,765,977 (340,874) .1.5x (827161) $121638 ($148,799) -1223% $52.138 $42,213 $9,925 23.5% 6,670 198 0.482 3447.9% $58a0s $42,401 $16,407 38.7% $31,047 $164,039 ($132,392) -00.7% 14,711,628 YEAR- TO-DATE 374,455 2.6% Over (Under) Budget Dollars 53,333 Pendent Actual $14,331,715 Budget $15,258,760 ($927,045) -6.1% 18,939,739 18,042,720 • 896,019 5.0% 3,619,400 3,581,831 97,569 1.9% 838,919,854 $38,683,311 836,543 0.1% 14,711,628 14,337,173 374,455 2.6% 5,588 53,333 (47,765) -".a% $'14,7117.196 $14,390.606 $328,690 -08.9% $22,202,868 $22,492,805 ($290,147) -1.3% 1a3,928 155 ,434 18 ,494 11.2% $22,388.568 $12,658,239 (11271,953) -11% $10,292,755 $10,058,922 $235,833 2.3% 2,384,975 2,370,085 14,290, 0.6% 2,237,468 2,243,793 (6,326) -0.3% 1,102.040 1,197,747 (95,707) -0.0% 3,104,310 3,054,555 49,656 1.0% 593.054 775.723 (83.839) -10.8% " 155,459 186.027 462 0.2% 358,033 345,089 13.544 3.9% 320,477 323 ,472 (2,995) -0.9% 1,230.050 1,259,280 (23,630) .1.9% $21,914,881 $21,813,395 $101,485 0.5% 5471.705 8544,644 (11373,139) -44.2% $345,594 $337,709 $7,885 2.3% 73 ,490 926 72,852 8775.8% $119,054 $330,537 $90,547 23.8% 5890.789 $1,183.381 p292.592) -2 YEAR -TO -DATE AUMA 1998 $13,895,051 16,767,285 3.411.533 834,00.7,889 12,692,616 10.600 $12,903 ,418 $21,160,451 154,742 $21,315,193 $9.643,424 2,135,108 2,2'76,788 1,042,321 2,841,528 570,201 158 ,455 300,490 331,713 1.105.06,7 $20,404,087 $911.108 889.584 6.886 $95,269 $1,005,379 VARIANCE % 2000 vs 1999 3.2% 13.0% 7.0% 8.4% 14.1% .47.5% 14.1% 4.9% 18.9% 5.0% 8.7% 11.7% -1.7% 5.7% 9.2% 21.6% 17.1% 193% -3.4% 11.8% 7.4% J6.2% 290.1% 999.3% 339.9% 27 Patient days 767 Ole (151) -16A% 6,295 7,425 (1,130) -15.2% 6,858 -8.2% 28 Resident days 3,585 3,602 (17) -0.5% 28,002 28,737 (675) -2.3% 28,479 -1.5% 29 Percent ocapercy - budget beds - HosPBal 41.2% 49.4% -8.1% - 16.4% 43.0% 50.7% -7.7% -15.2% 47,0% 2.6% 30 placard ocayancy4xAW beds - NmIng Hone 94.0% 94.5% -0.4% -0.5% 93.5% 95.8% -2.2% -2.3% 95.3% -1.9% 31 FTE'$ 405.44 403.23 3.2 0.8% 403.44 403.23 02 0.1% 397,2 1.6% 32 Acinn"m(scipsted)- Hospital only 517 537 (20) -3.7% 3,695 4,271 (377) -0.8% 3,628 1.8% 33 6perrea$ (vet) per adi fission (a*aud) - Hospital only 4,345 4,238 107 2.5% 4,596 4,155 428 10.3% 4,270 7.6% 34 Revenue per atlmisabn (**AW) - HoepflN Ony 7,817 7,874 (57) -0.7% 8 ,475 7,726 749 9.7% 7,854 7.9% 35 Nat Revenue per admissbn (B*MW)- HOWIIMI 0* 3,801 4.526 (725) -16.0% 4,771 4,437 334 7.5% 4,581 4.1% 35 Discount 88 a percerd Of nevenres 39.9% 39.0% 0.9% 23% 39.9% 39.0% 0.8% 22% 37.9% 5.2% 37 FTE's per 100 admlaa(om (2*NW) - Hospllal Ony 4.6 4,5 0.1 2.1 %d 4.9 4.5 0.4 8.6% 4.0 1.6% 38 Dap In Not Aomuas RGCMY h 89.3 56.0 33.3 59.5% 54.7 38.0% 39 Case Mb(- Home orgy 268 2.61 0.04 1.6% 2.69 2,54 0.05 1.9% 2.57 4.7% _.. rte atsedays nnext ga$mrvs sat Pr1er 7san wman.v. rim Ma C.ws pteo,er>, ama t4a41rara (stae,som FkuVrfni Pam Larson • CITY OF h iINSON 101., 1546:30 R55CKREG3 ...,.20000 Council Check Register Page - 1 10/9/00 --10/3/00 Check # Dale Amount Vendor Explanation PO # Doc No Inv No Account No Account Descnption Business Unit 100272 10/3/00 102260 ASHBROOK 980.30 STEERING PADDLE, MIXER BODY 2433 47954 3300.6230 REPAIR 8 MAINTENANCE SUPPLIESNASTEWATER ADMINISTRATION 740.00- CREDIT MIXER BODY 2434 48877 3300 -6230 REPAIR 8 MAINTENANCE SUPPLIESNASTEWATFR ADMINISTRATION 240.30 100273 10/3/00 102236 DUININCK BROS INC. 8,239,32 -4199 REVISED #10 2438 20000925 9363.7025 WPROV OTHER THAN BLDGS 1999 IMPROV CONSTRUCTION B/t 8,239.32 100274 1013/00 102961 HRA 2400 00 HRA ENTRY COST ASSIST -A LEVINE 2426 20001003 9116 6715 HRA TRANSFER HOUSING REDEVELOPMENT WS 2,000 00 HRA ENTRY COST ASSIST -S MILLER 2427 20001003A 9116.6715 HRA TRANSFER HOUSING REDEVELOPMENT B/S 2,000.00 HRA ENTRY COST ASSIST -T BURESH 2428 200010038 9116.6715 HRA TRANSFER HOUSING REDEVELOPMENT B/5 2,000.00 HRA ENTRY COST ASSIST-KARG /GRI 2429 200010030 9116.6715 HRA TRANSFER HOUSING REDEVELOPMENT B/S 2,000.00 HRA ENTRY COST ASSIST-D GRUENH 2430 20001003D 9116.6715 HRA TRANSFER HOUSING REDEVELOPMENT B/S 2,000.00 HRA ENTRY COST ASSIST -R ZIEMAN 2431 20001003E 9116.6715 HRA TRANSFER HOUSING REDEVELOPMENT B/5 12,000.00 100275 10/3100 101869 HUTCHINSON, CITY OF 109.00 FISH 8 GAME FEES TO STATE 2417 20001003 1114 4730 OTHER REVENUES FISH 8 GAME 109.00 100276 10/3/00 105024 JORDAHL, JIM 400.00 MIDDLE SCHOOL DANCE 2418 20000925 1768.6305 OTHER CONTRACTUAL YOUTH ACTIVITIES 400 00 100277 10/3/00 102787 MCLEOD COUNTY TREASURER 102.00 2ND HALF PROPERTY TAXES 2419 20001002 2810.6902 LICENSES 8 TAXES AIRPORT 102.00 100278 10/3/00 102787 MCLEOD COUNTY TREASURER 6,435.56 2ND HALF PROPERTY TAXES 2420 20001002A 3450.6902 LICENSES 8 TAXES HATS OPERATIONS 6,435.56 100279 1013100 102787 MCLEOD COUNTY TREASURER 17 692.00 2ND HALF PROPERTY TAXES - 2421 200010028 2810.6902 LICENSES 8 TAXES AIRPORT 69200 100280 10/3100 102787 MCLEOD COUNTY TREASURER 73.93 2ND HALF PROPERTY TAXES 2423 20001002D 1900.6902 LICENSES 8 TAXES PARK ADMINISTRATION 7393 R55CKREG3 LOG20000 CITY OF HUTCHINSON Council Check Register 10/3100 — 1013100 Check p Date Amount Vendor Explanation PO p Doc No Inv No Account No Account Description 100281 10/3/00 METROTECH CORP 102787 MCLEOD COUNTY TREASURER 79.00 REG -DICK EBERT 547.00 2ND HALF PROPERTY TAXES 2422 20001002C 2810.6902 LICENSES & TAXES 1013100 15:46:30 Page - 2 Business Unit AIRPORT 2424 20001002 3200.6320 TRAVEL SCHOOL CONFERENCE WATER 2425 20001002A 1600.6320 TRAVEL SCHOOL CONFERENCE STREETS & ALLEYS 2416 200001003 11114730 OTHER REVENUES DNR REVENUE 2432 20001003 1600.6320 TRAVEL SCHOOL CONFERENCE STREETS & ALLEYS 2437 20000927 2435 3408 2436 20001002 Payment Instrument Totals Check Total 75,072.99 Total Payments 75,072.99 4 9364.7025 IMPROV OTHER THAN BLDGS 20001MPROV CONSTRUCTION B/f 3450.6211 MOTOR FUELS & LUBRICANTS HATS OPERATIONS 2725.7020 BUILDINGS CEMETERY 54700 100282 10/3/00 105379 METROTECH CORP 79.00 REG -DICK EBERT 89.00 REG -LARRY KARG 168.00 100283 10 /3/00 101826 MINNESOTA DEPT OF NATURAL RESO 562.00 DNR FEES TO STATE 562.00 100284 10/3/00 102754 MINNESOTA GIS/LIS CONFERENCE 195.00 REG - GENISE OUAST 195.00 100285 10/3/00 102398 R & R EXCAVATING 34,612.02 L9 100 REVISED ft2 34,612.02 100286 10/3/00 10'3832 RCH INC 10,627.47 FUEL 10,62] 47 100287 1013/00 102054 TELECKY. DAVE 69.39 REIME�SHUTTERS FOR CEMETERY 69.39 75,072.99 Gmnd Total 1013100 15:46:30 Page - 2 Business Unit AIRPORT 2424 20001002 3200.6320 TRAVEL SCHOOL CONFERENCE WATER 2425 20001002A 1600.6320 TRAVEL SCHOOL CONFERENCE STREETS & ALLEYS 2416 200001003 11114730 OTHER REVENUES DNR REVENUE 2432 20001003 1600.6320 TRAVEL SCHOOL CONFERENCE STREETS & ALLEYS 2437 20000927 2435 3408 2436 20001002 Payment Instrument Totals Check Total 75,072.99 Total Payments 75,072.99 4 9364.7025 IMPROV OTHER THAN BLDGS 20001MPROV CONSTRUCTION B/f 3450.6211 MOTOR FUELS & LUBRICANTS HATS OPERATIONS 2725.7020 BUILDINGS CEMETERY R = _l 0.— zwwer =� 1172,fh72 a ^- c•w onl I/`c o4TOl73R[nRn�yy 100288 10/55 102314 KUECHLE UNDERGROUND R55CKREG3 WODOO Check 0 Dale Amount Vendor Explanation 56,000.00 L10/97 EST #7 -FINAL 56 000.00 100289 10/5/00 102579 MINNESOTA DEPT OF REVENUE 153.12 ABATEMENT 153.12 56,153.12 Grand Total CITY OF FfigpIlINSON Council Check Register 10/5/00 -- 10/5/00 PO M Doc No Inv No 2469 20000928 10/5 9:22:45 Page - 9 Accounl No Account Descsiplron Busmess Unit I 93617025 IMPROV OTHER THAN BLDGS 19971MPROV CONSTRUCTION B/I 2470 7090916 9441 -2230 SALES TAXES PAYABLE Payment instrument Totals Check Total 56,153.12 Total Payments 56,153.12 LIQUOR FUND B/S 7 PAYROLL ACCOUNT - PAYROLL OF OCTOBER 6, 2000 PERIOD ENDING: 09 /30 /00 FOR COUNCIL LIST ONLY - ELECTRONIC TRANSFER TO STATE AND IRS DO NOT ISSUE CHECKS FOR THIS PAGE AMOUNT PEID ACCT# NAME 017,279.77 9995.2034 WITH. TAX ACCOUNT $9,584.90 9995.2040 $488.44 9995.2242 $27,333.11 Sub -Total - Employee Contribution $5,938.96 9995.2240 $4,114.38 9995.2242 $10,053.34 Sub -Total - Employer Contribution $37,386.45 Grand Total - Withholding Tax Account $6,603.87 Finance Director Approval DESCRIPTION Employee Contribution - Federal Tax Employee Contribution - Soc. Security Employee Contribution - Medicare Employer Contribution - Social Security Employer Contribution - Medicare 9995.2036 MN DEPT OF REVENUE • • • .• R55CKREG3 ...u20000 0 CITY OF 6 HINSON Councll Check Register 10/11100 __10111/00 0 10/. 1051:43 Page- 1 Check It Date Amount Vendor Explanatlon PO # Doc No Inv No Account No Account Description Business Unit 100290 10111/00 105374 ABELN DAN 30.00 REFEREE TACKLE FOOTBALL 2556 20000922 1787.6122 WAGES TEMPORARY EMPLOYEES YOUTH TACKLE FOOTBALL 30.00 100291 10111/00 101876 AETNA VARIABLE LIFE ASS. CO. 595.00 PE 9/30/00 2680 20001006 9995.2036 ACCRUED DEFERRED COMP PAYROLL FUND WS 595.00 100292 10/11/00 105048 ALL AMERICAN SPORTS CORP 5056- 2802 539526 9999.2230 SALES TAXES PAYABLE CASH COMPANY 828.40 SHOULDER PADS 2802 539526 1787.6210 OPERATING SUPPLIES YOUTH TACKLE FOOTBALL 777.84 100293 10111/00 101867 AMERICAN WATERWORKS ASSN 30.00 REG- RICHARD KOSEK 2670 20000930 3200.6320 TRAVEL SCHOOL CONFERENCE WATER 3000 REG - RICHARD NAGY 2671 20000930A 3200.6320 TRAVEL SCHOOL CONFERENCE WATER 60.00 100294 10/11/00 102430 AMERIPRIDE LINEN 8 APPAREL 34.10 SEPTEMBER SERVICES 2471 N188292 3000.6210 OPERATING SUPPLIES LIQUOR OPERATIONS 31.03 SEPTEMBER SERVICES 2472 N190980 301X) 6210 OPERATING SUPPLIES LIQUOR OPERATIONS 36.55 SEPTEMBER SERVICES 2473 N193681 3000,6210 OPERATING SUPPLIES LIQUOR OPERATIONS 3043 SEPTEMBER SERVICES 2474 N196315 3000.6210 OPERATING SUPPLIES LIQUOR OPERATIONS 132.11 100295 10111/00 105388 ANDERSEN, KIRSTEN 31.85 REIMS- MILEAGE 2777 20001002 3000.6320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS 31.85 100296 10111100 1018114 ANDERSON DOVE FRETLAND 8 VAN V 7,250.00 SEPTEMBER COMPENSATION 2624 20000930 11256301 PROFESSIONAL SERVICES LEGAL 7.250 00 100297 10111100 105393 ANDERSON, SCOTT 62.87 REFUND OVERPYMT OF BILL 2748 20000925 9442 1151.1 ACCOUNTS RECEIVABLE MANUAL REFUSE WATER SEWER B/S 62.87 100298 10111/00 105401 ANDERSON, WES 19.00 LEAGUE REFUND 2720 49890 2610 4200 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 19.00 R55CKREG3 LOG20000 Check p Date Amount Vendor Explanation 100299 10/11/00 102785 ANOKA TECHNICAL COLLEGE 790.00 BASIC PUMP OPERATIONS 790.00 CITY OF HUTCHINSON Council Check Ragister 10111/00 - 10/11/00 PO N Doc No Inv No 2661 8779 10/11100 10:51:43 Page - 2 Account No Account Desaiplbn Business Unit 1450.6320 TRAVEL SCHOOL CONFERENCE FIRE - ADMINISTRATION 100300 10/11/00 104971 ASHBURN, DAWN 81.00 REFUND SWING DANCE CANCELLED 2388 50364 2610.4730 OTHER REVENUES RECREATION BLDG. &POOL 81.00 100301 10 /11 /00 102207 BACHMAN'S 7,491.89 TREES /SHRUBS 2664 161579001 9301.7025 IMPROV OTHER THAN BLDGS CAPITAL IMPROVEMENTS BS 7491 89 100302 10/11/00 105412 BAYERL, JULIE 36.00 LEAGUE REFUND 2709 50071 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 36.00 100303 10/11/00 105398 BEELER, BOB 6.00 LEAGUE REFUND 2723 49695 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 6.00 100304 10/11100 102039 BENNETT OFFICE SUP. 15.00 SERVICE CONTRACT 2626 109445 1030.6370 CONTRACT REPAIR & MAINTENANCHTY ADMINISTRATOR -ADM 15.00 SERVICE CONTRACT 2626 109445 1475.6370 CONTRACT REPAIR & MAINTENANOEJILDING INSPECTION 15.00 SERVICE CONTRACT 2626 109445 1900.6370 CONTRACT REPAIR & MAINTENANCRARK ADMINISTRATION 15.00 SERVICE CONTRACT 2626 109445 1450.6370 CONTRACT REPAIR 8 MAINTENANORRE - ADMINISTRATION 60.00 100305 10/11/00 101916 BERNICKS PEPSI COLA 335.50 POP PURCHASE 2408 91263 1900.6217 FOOD PRODUCTS CONCESSION PARK ADMINISTRATION 533.75 POP PURCHASE 2409 9462 1900.6217 FOOD PRODUCTS CONCESSION PARK ADMINISTRATION 38.35 POP PURCHASE 2533 33308 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 46.65 POP PURCHASE 2534 33985 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 7.85 POP PURCHASE 2535 36566 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 31.95 POP PURCHASE 2536 37277 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 15.70 POP PURCHASE ^ 2537 39994 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 46.25 POP PURCHASE .2538 39993 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 80.00 BEER 2543 36454 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 160.00 BEER 2544 39995 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 12025 AUGUST PURCHASE 2590 16823 19006217 FOOD PRODUCTS CONCESSION PARK ADMINISTRATION 411.75 AUGUST PURCHASE 2591 12502 1900.6217 FOOD PRODUCTS- CONCESSION PARK ADMINISTRATION 244.00- CREDIT 2592 37747 19006217 FOOD PROD UCTS- CONCESSION PARK ADMINISTRATION . • R55CKREG3 620000 0 CITY OFH .HI NSON Council Check Register 10/11/00 -- 10/11/00 0 10/1 10'.51'.43 Page- 3 Check # Date Amount Vendor Explanation PO # Doc No Inv No Account No Account Descnptbn Business Unit 1,584.00 100306 10/11/00 104990 BLUHM, MARGIE 50.00 BUILDING SUPERVISOR -SR CENTER 2755 20001002 1825.6122 WAGES TEMPORARY EMPLOYEES SENIOR CITIZENS CENTER 50.00 100307 10/11/00 101987 BRANDON TIRE CO 15.00 REPAIR FLAT 2627 5523 3400.6232 TIRES CENTRAL GARAGE ADMIN 319 31 TIRES, MOUNT /DISMNT, BALANCE 2628 2096 3400.6232 TIRES CENTRAL GARAGE ADMIN 9962 TUBE, MOUNT /DISMNT 2629 2441 2725.6370 CONTRACT REPAIR & MAINTENANCTEMETERY 151-08 TIRES, STEMS. MOUNT /DISMNT, BA 2630 2437 3400.6232 TIRES CENTRAL GARAGE ADMIN 1300 PATCH TUBE. MOUNT /DISMNT 2631 2450 3400.6232 TIRES CENTRAL GARAGE ADMIN 586.74 TIRES, MOUNT /DISMNT 2632 2428 3400.6232 TIRES CENTRAL GARAGE ALVIN 1,18475 100308 10/11/00 103018 BROWN,JANET 45.00 LEAGUE REFUND 2580 49911 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 45.00 100309 10/11100 102136 BUSINESSWARE SOLUTIONS 15.00 LABOR 2727 61258 1172.6370 CONTRACT REPAIR & MAINTENANOIDLICE PATROL ADMINISTRATIOI 60.00 LABOR 2728 61257 1172.6370 CONTRACT REPAIR & MAINTENANCI®LICE PATROL ADMNISTRATIOI 6000 LABOR 2729 60794 1172.6370 CONTRACT REPAIR& MAINTENANGEDLICE PATROL ADMINISTRATIOI 7500 LABOR 2730 60796 1172.6370 CONTRACT REPAIR & MAINTENANOHRICE PATROL ADMINISTRATIOI 45.00 LABOR 2731 60928 11716370 CONTRACT REPAIR & MAINTENANCI®LICE CLERICAL SUPPORT 33 55 INK CARTRIDGE 2732 61172 1172.6205 OFFICE SUPPLIES POLICE PATROL ADMINISTRATIOI 26.41 LABTEC SPIN 60 SPEAKERS 2733 61160 1172.6210 OPERATING SUPPLIES POLICE PATROL ADMINISTRATIOI 5.33 SHOP SUPPLIES 2734 60843 1172.6231 EQUIPMENT PARTS POLICE PATROL ADMINISTRATIOI 203.42 MONITOR 2735 60823 1174.7030 MACHINERY & EQUIPMENT COMMUNICATIONS- ADMINISTRAI 20.37 PALM LEATHER BELT CLIP 2736 61350 1510.6210 OPERATING SUPPLIES CITY ENGINEER 6.39 RIBBON 2737 61507 1700.6210 OPERATING SUPPLIES CITY HALL MAINTENANCE 12000 LABOR 2738 61454 2950.7030 MACHINERY & EQUIPMENT HCOC -EDA 2,245.06 HE VECTRA, COLOR MONITOR 2739 61332 2950.7030 MACHINERY & EQUIPMENT HCDC -EDA 8,361.59 OMNIBOOK & ASSESSORIES 2740 61345 9301.7030 MACHINERY & EQUIPMENT CAPITAL IMPROVEMENTS B5 180.00 LABOR ,1 2741 61453 9301.7030 MACHINERY & EQUIPMENT CAPITAL IMPROVEMENTS B/S 45.00 LABOR 2742 61653 1475.6370 CONTRACT REPAIR & MAINTENANCEJILDING INSPECTION 75.00 LABOR 2743 61776 1475.6370 CONTRACT REPAIR & MAINTENANCIBJILDING INSPECTION 2,07937 OMNIBOOK & ASSESSORIES 2744 61624 3200.7030 MACHINERY & EQUIPMENT WATER 94.47 AUTO /AIRLINE ADAPT 2745 61739 32007030 MACHINERY & EQUIPMENT WATER 58.58 TONER CARTRIDGE 2746 62039 1060.6210 OPERATING SUPPLIES FINANCE - ADMINISTRATION 13 ,Nnn 54 R55CKREG3 LOG20000 CITY OF HUTCHINSON 10/11/00 10.51'.43 Coundl Check Register Page- 4 10111/00 - 10/11/00 Check p Date Amount Vendor Erplanallon PO M Doc No Inv No Accounl No Account Descnptbn Business Unit 100310 10111/00 102456 C & L DISTRIBUTING 1,318.45 BEER 2499 63201 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 24.70 MISC 2499 63201 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 120.80- DEPOSIT /RETURN 2499 63201 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 1.393 50 BEER 2500 63448 3000.6812 COST OF SALES -BEER UGHOR OPERATIONS 240.00- DEPOSIT /RETURN 2500 63448 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 18.60 BEER 2501 20000920 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 2,465.26 BEER 2502 64074 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 16.50 MISC 2502 64074 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 70.00- DEPOSITlRETURN 2502 54074 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 5,884.60 BEER 2503 62551 3100.6812 COST OF SALES -BEER LIQUOR OPERATIONS 5410 MISC 2503 62551 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 122.40- DEPOSIT /RETURN 2503 62551 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 11,826.40 BEER 2504 63435 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 3820 MISC 2504 63435 3100.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 16.80- DEPOSIT /RETURN 2504 63435 3000,6915 CASE DEPOSITS LIQUOR OPERATIONS 22,470.31 100311 10111100 102083 CAMERA SHOP 5.50 DEVELOP & PRINT 2586 25119 1452.6210 OPERATING SUPPLIES FIRE DEPT SHARED COST 23.11 DEVELOP & PRINT, FILM 2587 25106 1452.6210 OPERATING SUPPLIES FIRE DEPT SHARED COST 28.61 100312 10111100 105418 CARLSON, MARILYN 24 -00 LEAGUE REFUND 2703 49848 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 24.00 100313 10/11100 102117 CARQU EST AUTO PARTS 32.62 SHOP SUPPLIES 2530 213500-0900 3400.6210 OPERATING SUPPLIES CENTRAL GARAGE ADMIN 1842 SOLVENT 2530 213500 -0900 3400.6230 REPAIR & MAINTENANCE SUPPLIE9CENTRAL GARAGE ADMIN 72.56 EXHAUSE PIPE, MUFFLER, SWITCH 2531 213500-0700A 3406.6230 REPAIR & MAINTENANCE SUPPLIESCENTRAL GARAGE ADMIN 123.60 100314 10/11/10 102092 CARR FLOWERS 25.30 PLANT -M LARSON -2650 1692 1910.6909 MISCELLANEOUS PARK ADMINISTRATION 27 64 PLANT - MITCHELL LARSON 2650 1692 1510.6909 MISCELLANEOUS CITY ENGINEER 18,05 PLANT - SJOIINSON 2650 1G92 3300.6909 MISCELLANEOUS WASTEWATER ADMINISTRATION 70.99 100315 10/11/00 102095 CASH DRAWER #4 • • • 3000.6210 OPERATING SUPPLIES 3000.6210 OPERATING SUPPLIES 30006210 OPERATING SUPPLIES 1060.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 0 1011 105143 Page- 5 Business Unit CITY ADMINISTRATOR ADM WASTEWATER ADMINISTRATION FINANCE - ADMINISTRATION WASTEWATER ADMINISTRATION FINANCE - ADMINISTRATION BUILDING INSPECTION RECREATION BLDG. 6 POOL LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS FINANCE - ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION 3400.6230 REPAIR 8 MAINTENANCE SUPPLIEMENTRAL GARAGE ADMIN 3450.6210 OPERATING SUPPLIES HATS OPERATIONS 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 9442,115 1.1 ACCOUNTS RECEIVABLE MANUAL REFUSE WATER SEWER R/S 3000.6909 MISCELLANEOUS LIQUOR OPERATIONS 29.00 R55CKREG3 L- -20000 CITY OF H. iINSON 10/11/00 103014 CDI OFFICE PRODUCTS LTD Council Check Regkter 79.02 10111/00 -- 10/11/00 RIBBONS 2558 27498 Check # Dale Amount Vendor Explanation PO # Doc No Inv No Account No Account Deecnption 2559 2.00 POP FOR PAY /COMPENS MTG 2804 20001001 1030.6909 MISCELLANEOUS 46.60 _ RECYCLING FLUOR BULBS 2804 20001001 3300.6909 MISCELLANEOUS 362 10 76 ROLLS FOR JDE TRAINING 2804 20001001 1060.6909 MISCELLANEOUS 5.28 POSTAGE 2804 20001001 3300.6311 POSTAGE 2610 2.00 POSTAGE 2804 20001001 1060.6311 POSTAGE 5.40 POSTAGE 2804 20001001 1475.6311 POSTAGE 99.77 72.04 TOWELS, LINERS 2612 28001 100316 10/11/00 105422 CASSENS, JEAN 6799 PENS 2613 29.00 REFUND -DEBT FREE CLASS CANCEL 2699 50571 2610.4730 OTHER REVENUES 3000.6210 OPERATING SUPPLIES 3000.6210 OPERATING SUPPLIES 30006210 OPERATING SUPPLIES 1060.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 0 1011 105143 Page- 5 Business Unit CITY ADMINISTRATOR ADM WASTEWATER ADMINISTRATION FINANCE - ADMINISTRATION WASTEWATER ADMINISTRATION FINANCE - ADMINISTRATION BUILDING INSPECTION RECREATION BLDG. 6 POOL LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS FINANCE - ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION 3400.6230 REPAIR 8 MAINTENANCE SUPPLIEMENTRAL GARAGE ADMIN 3450.6210 OPERATING SUPPLIES HATS OPERATIONS 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 9442,115 1.1 ACCOUNTS RECEIVABLE MANUAL REFUSE WATER SEWER R/S 3000.6909 MISCELLANEOUS LIQUOR OPERATIONS 29.00 100317 10/11/00 103014 CDI OFFICE PRODUCTS LTD 79.02 RIBBONS 2558 27498 63 37 CASH REGISTER PAPER 2559 28929 21.46 RIBBONS 2560 29629 362 RIBBONS 2599 29314 114.96 BINDERS, FRAME, LINERS 2610 27893 13.85 BLEACH 2611 28175 99.77 TOWELS, LINERS 2612 28001 6799 PENS 2613 28928 464 04 100318 10111/00 104391 CENTRAL HYDRAULICS 105.06 SUPPLIES 2454 4044 105.06 100319 10/11/00 102253 CENTRAL MCGOWAN 15965 CYLINDERS 2447 135482 159.65 100320 10/11/00 104663 CHRISTENSEN, CHRISTY 18.00 LEAGUE REFUND 2579 50054 18.00 100321 10/11/00 105391 CIHAK, JANEL 23 56 REF IND OVFRPYMT OF BILL 2750 20000926 23 56 100322 10/11/00 105423 CINDY'S HOUSE OF FLORAL DESIGN 31.95 FLORAL M LARSON 2769 1101 3000.6210 OPERATING SUPPLIES 3000.6210 OPERATING SUPPLIES 30006210 OPERATING SUPPLIES 1060.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 3300.6205 OFFICE SUPPLIES 0 1011 105143 Page- 5 Business Unit CITY ADMINISTRATOR ADM WASTEWATER ADMINISTRATION FINANCE - ADMINISTRATION WASTEWATER ADMINISTRATION FINANCE - ADMINISTRATION BUILDING INSPECTION RECREATION BLDG. 6 POOL LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS FINANCE - ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION 3400.6230 REPAIR 8 MAINTENANCE SUPPLIEMENTRAL GARAGE ADMIN 3450.6210 OPERATING SUPPLIES HATS OPERATIONS 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 9442,115 1.1 ACCOUNTS RECEIVABLE MANUAL REFUSE WATER SEWER R/S 3000.6909 MISCELLANEOUS LIQUOR OPERATIONS R55CKREG3 LOG20000 CITY OF HUTCHINSON 10111100 1051:43 Council Check Register Page - 6 10/11/00 — 10111100 Check # Dale Amount Vendor Explanation PO # Doc No Inv No Account No Account Descdpibn Business Unit 31.95 100327 10/11100 102179 CLAREYS SAFETY EQUIP 8061 NOSE CUP ASSY, FRAME MOUNTING 2584 26343 1452.6230 REPAIR & MAINTENANCE SUPPLIE3IRE DEPT SHARED COST 80.61 100324 10111100 104829 CLARK, DWIGHT 18.00 LEAGUE REFUND 2582 50045 2610 4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 18.00 100325 10111100 102741 COBORN'S INCORPORATED 2341 FILM 2695 CITY029 -0900 1750.6210 OPERATING SUPPLIES RECREATION - ADMINISTRATION 24.20 PHOTOS 2695 CITY029 -0900 1787.6210 OPERATING SUPPLIES YOUTH TACKLE FOOTBALL 50.00 PHOTOS 2695 CITY029 -0900 1786.6210 OPERATING SUPPLIES YOUTH FLAG FOOTBALL 50.00 PHOTOS 2695 CITY029 -0900 1772.6210 OPERATING SUPPLIES MINI SOCCER 85.75 17 DINNERS 2695 CITY029 -0900 2850.6327 SAFETY COMMITTEE EXPENSE UNALLOCATED GENERAL 233 36 100326 10111/00 102765 COMPRESSAIR 8 EQUIPMENT 105.39 SEAL RING, SAFETY VALVE 2400 993755 1452.6210 OPERATING SUPPLIES FIRE DEPT SHARED COST 105.39 110327 10/11/00 102432 CONSTRUCTION BULLETIN 207.70 CONSTRUCTION AD LETT#1 2678 CB114767 15106330 ADVERTISING CITY ENGINEER 207.70 100328 10/11100 102177 CROW RIVER AREA QUALITY COUNCI 40.00 SEPTEMBER SESSION -JO, KEN 2453 503 1060.6320 TRAVEL SCHOOL CONFERENCE FINANCE - ADMINISTRATION 20.00 SEPTEMBER SESSION -JOHN 2453 503 1510 6320 TRAVEL SCHOOL CONFERENCE CITY ENGINEER 60.00 100329 10111/00 102289 CROWRIVERGLASS 436.59 WINDSHIELD -POLC- 005 -SOD 2391 32487 3400.6370 CONTRACT REPAIR 8 MAINTENANORENTRAL GARAGE ADMIN 436.59 100330 10/11/00 104879 CROW RIVER TITLE 18,000.00 DTED GAP EQUITY -CORY ZEIHER 2807 20001009 8700.6651 HOUSING REHAB LOANS HHOP LOAN JILL OLSEN 18,000.00 100331 10/11/00 105376 DAVIES, MARJORIE 25.00 REFUND - SHELTER RESERV CANCEL 2552 2778 1900.4295 PARK FEES PARK ADMINISTRATION .• R55CKREG3 LV620000 Check # Dale Amoral Vendor Explanallon COST OF SALES BEER 3000.6815 25.00 1177.6320 TRAVEL SCHOOL CONFERENCE 100332 10111/00 102488 DAY DISTRIBUTING 3,116.55 BEER 12.00- 10111/00 DEPOSIT /RETURN 102710 DOMINO'S PIZZA 79.80 BEER 10.00- DEPOSIT/RETURN 49.80 3.17435 PIZZAS 2637 100333 10/11100 OPERATING SUPPLIES 105182 DOBRATZ, CHRIS M Li CITY OF H, _,IINSON Council Check Register 10/11100 — 10111/00 PO # Doc No Inv No 2475 110394 2475 110394 2476 109735 2476 109735 Acwonl No Account Description 3000.6812 COST OF SALES -BEER 3000.6815 CASE DEPOSITS 3000.6812 COST OF SALES BEER 3000.6815 CASE DEPOSITS 0 10/1. 10:5143 Page - 7 Business Unit LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS 40.00 CASH ADVANCE -FOOD ALLOWANCE 2651 20000901 1177.6320 TRAVEL SCHOOL CONFERENCE INVESTIGATION 4000 100334 10111/00 102710 DOMINO'S PIZZA 49.80 PIZZAS 2637 375120 1020.6210 OPERATING SUPPLIES CITY COUNCIL 49 60 1M335 10111/00 102275 DPC INDUSTRIES INC 600.63 CHLORINE 2596 7000- 1372521 32006215 CHEMICALS& PRODUCTS WATER 54.00 SO2 150 LB CYLINDER 2603 D -7000 -01341 3300.6215 CHEMICALS & PRODUCTS WASTEWATER ADMINISTRATION 4 276.99 SULFUR DIOXIDE 2609 7000 - 1371374 3300.6215 CHEMICALS & PRODUCTS WASTEWATER ADMINISTRATION 1,131 62 100336 10 /11 /00 102236 DUININCK BROS INC 37,175.35 17100 ES f 114 2779 20001006 9364.7025 IMPROV OTHER THAN BLDGS 2000 IMPROV CONSTRUCTION B/; 37,175.35 100337 10/11100 102236 DUININCK BROS INC 36,965.11 _6/99 -00 EST 44 2780 20001006A 9363.7025 IMPROV OTHER THAN BLDGS 1999 IMPROV CONSTRUCTION Bl! 36,965.11 100338 10 /11 100 102647 DYNA SYSTEMS 215.51 BIG MOLY II, LIONS TNG SAND RL 2619 10251404 3300.6230 REPAIR & MAINTENANCE SUPPLIESNASTEWATER ADMINISTRATION 221 69 DRILL BIT, CAP SCREW. NUT 11 2622 10250736 3300.6230 REPAIR & MAINTENANCE SUPPLIESNASTEWATER ADMINISTRATION 437.20 100339 10111100 102324 EARL ANDERSON ASSOC 24300 PARTS 2460 27105 1600.6236 SIGNS & STRIPPING MATERIALS STREETS 8 ALLEYS 243.00 R55CKREG3 LOG20000 CITY OF HUTCHINSON 10111/00 10:51:43 Council Check Register Page - 8 10/11/00 __10111100 Check # Date Amount Vendor Explanation PO # Due No Inv No Account No Account Descopt" Business Unit 100340 10/11/00 102354 ECONOFOODS 103.15 GROCERIES 2669 CITY -0900 1825.6210 OPERATING SUPPLIES SENIOR CITIZENS CENTER 174.66 34 DINNERS 2669 CITY -0900 1825.6301 PROFESSIONAL SERVICES SENIOR CITIZENS CENTER 370.44 86 DINNERS 2669 CITY -0900 1764.6301 PROFESSIONAL SERVICES ADAPTIVE RECREATION 77.97 SUPPLIES 2669 CITY -0900 1764.6210 OPERATING SUPPLIES ADAPTIVE RECREATION 15.08 POP & SNACKS 2669 CITY-0900 193T6210 OPERATING SUPPLIES FORESTRY ADMINISTRATION 93.22 FRUIT, BREAD & CHEESE 2669 CITY- 0900 3000.6325 MEETINGS LIQUOR OPERATIONS 834.52 100341 10111100 102356 ELECTRO WATCHMAN 25.00 PROGRAMMING CHARGE 2539 67851 3000.6370 CONTRACT REPAIR & MAINTENANGHQUOR OPERATIONS 25.00 PROGRAMMING CHARGE 2540 68051 3000 6370 CONTRACT REPAIR & MAINTENANGEQUOR OPERATIONS 50.00 100342 10111100 102875 ELKS LODGE #2427 10,000.00 PROMISSORY NOTE PAYMENT 2653 20000930 9225.6377 MOVING & RELOCATION 1980 TAX INC DB SERVICE 10,000.00 100343 10/11/00 105328 ERDMAN, AMY 3600 LEAGUE REFUND 2577 50084 2610.4260 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 36.00 100344 10/11100 104022 EVEN -TEMP CONSTRUCTION 2,000.00 MISC WORK -FINAL PAYMENT 2676 &862 -5 8662.6651 HOUSING REHAB LOANS REINER LOAN 2,00000 100345 10/11/00 105419 EVENSON, LINDA 39.00 LEAGUE REFUND 2702 49910 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 39.00 100346 10/11/00 105396 FARLEY, KIM 33.00 LEAGUE REFUND 2725 50082 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG & POOL 33.00 100347 10111/00 105409 FASSINGER, CARRIE II 24.00 LEAGUE REFUND .2712 49791 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 24.00 100348 10 /11/00 105421 FIELD. DEON 64.00 REFUND CANCELLED TAE KWON DO 2700 49353 2610 4730 OTHER REVENUES RECREATION BLDG. & POOL 64 ,00 CITY OF h, ANSON 10I'1 10'51'43 R55CKREG3 L- 20tx10 Co nncll Check Register Page 9 10111100 -- 10111/00 Check k Dale Amount Vendor Explanation PO N Doc No hry No Account No Account Description BusluesS Unit 100349 10111/00 102322 FIRSTAR 2,400.00 INTEREST PAYMENT 2541 333947 9211 .661 0 INTEREST LIBRARY FUND DEBT SERV BIS 2 ,40000 100350 10/11/00 102636 FORTIS BENEFITS 22.41 OCTOBER LTD 2785 20001001 3101.6160 EMPL.HEALTH & INS. BENEFIT REFUSE & RECYCING 86.08 OCTOBER LTD 2785 20001001 3200.6160 EMPL.HEALTH & INS. BENEFIT WATER 167.58 OCTOBER LTD 2785 20001001 3300.6160 EMPL.HEALTH & INS. BENEFIT WASTEWATER ADMINISTRATION 22.45 OCTOBER LTD 2785 20001001 3400.6160 EMPL.HEALTH & INS. BENEFIT CENTRAL GARAGE ADMIN 29.33 OCTOBER LTD 2785 20001001 2950.6160 EMPL.HEALTH & INS. BENEFIT HCDC -EDA 4213 OCTOBER LTD 2785 20001001 3000,6160 EMPL. HEALTH & INS. BENEFIT LIOUOR OPERATIONS 9380 OCTOBER LTD 2785 20001001 10306160 EMPL.HEALTH &INS. BENEFIT CITY ADMINISTRATOR - ADM 79 :TII OCTOBER LTD 2785 20001001 1060.6160 EMPL.HEALTH & INS BENEFIT FINANCE - ADMINISTRATION 30.25 OCTOBER LTD 2785 20001001 1150.6160 EMPL.HEALTH & INS BENEFIT INFORMATION SERVICES ADMIN. 24.84 OCTOBER LTD 2785 20001001 1110.6160 EMPL. HEALTH & INS. BENEFIT MOTOR VEHICLE - ADMINISTRATI 33.68 OCTOBER LTD 2785 20001001 1700.6160 EMPL - HEALTH & INS. BENEFIT CITY HALL MAINTENANCE 595.73 OCTOBER LTD 2785 20001001 1171.6160 EMPL HEALTH & INS. BENEFIT POLICE ADMINISTRATION 29.83 OCTOBER LTD 2785 20001001 1450.6160 EMPL, HEALTH & INS, BENEFIT FIRE - ADMINISTRATION 3553 OCTOBER LTD 2785 20001001 1475.6160 EMPLHEALTH B INS, BENEFIT BUILDING INSPECTION 53.19 OCTOBER LTD 2785 20001001 1130.6160 EMPL HEALTH & INS. BENEFIT PLANNING - ADMINISTRATION 156.38 OCTOBER LTD 2785 20001001 1510.6160 EMPL.HEALTH & INS. BENEFIT CITY ENGINEER 193.13 OCTOBER LTD 2785 20001001 1600.6160 EMPL.HEALTH & INS. BENEFIT STREETS & ALLEYS 5117 OCTOBER LTD 2785 20001001 1400.6160 EMPL. HEALTH & INS. BENEFIT SCHOOL LIAISON OFFICER 54.98 OCTOBER LTD 2785 20001001 1710.6160 EMPL.HEALTH & INS. BENEFIT PARK RECREATION ADMINISTRA 2098 OCTOBER LTD 2785 20001001 1750.6160 EMPL. HEALTH & INS. BENEFIT RECREATION - ADMINISTRATION 49.57 OCTOBER LTD 2785 20001001 1850.6160 EMPL.HEALTH & INS. BENEFIT CIVIC ARENA 194.75 OCTOBER LTD 2785 20001001 1900.6160 EMPL.HEALTH & INS. BENEFIT PARK ADMINISTRATION 23.24 OCTOBER LTD 2785 20001001 2725.6160 EMPL.HEALTH & INS. BENEFIT CEMETERY 54.76 OCTOBER LTD 2785 20001001 2855.6160 EMPL.HEALTH & INS. BENEFIT HRA 2,145 09 100351 10111/00 102443 FRONTLINE PLUS FIRE & RESCUE 242.60 FIRE BROOMS, FIRE BEATER 2410 7184 1451.7030 MACHINERY & EQUIPMENT CITY FIRE 242.60 100352 10111100 105385 G & J AWNING & CANVAS 3,863.00 SIGN & AWNING/LIGHTHOUSE BOOKS 2776 20000928 8000.6650 LOAN Downtown Grant Program 3.863.00 100353 101111W 102526 G & K SERVICES R55CKREG3 LOG20000 CITY OF HUTCHINSON 10111100 10:51:43 Council Check Register Page - 10 10/1110 - 10111/00 Check # Dale Amount Vendo, Explanation PO # Doc No Inv No Account No Account Description Business Unit 16.87 UNIFORMS 2513 92121 -0900 1825.6305 OTHER CONTRACTUAL SENIOR CITIZENS CENTER 16.87 UNIFORMS 2513 92121 -0900 1700.6213 UNIFORMS & PERSONAL EQUIP CITY HALL MAINTENANCE 4.11 TOWELS 2513 92121 -09170 1900.6214 SHOP MATERIALS PARK ADMINISTRATION 241.70 UNIFORMS 2513 92121 -0900 1900.6213 UNIFORMS & PERSONAL EQUIP PARK ADMINISTRATION 162.35 UNIFORMS 2514 92154-0900 3200.6213 UNIFORMS & PERSONAL EQUIP WATER 76.26 TOWELS, MOPS 2514 92154 -0900 3300.6212 CLEANING SUPPLIES WASTEWATER ADMINISTRATION 329.04 UNIFORMS 2514 92154 -0900 3300.6213 UNIFORMS & PERSONAL EQUIP WASTEWATER ADMINISTRATION 1790 UNIFORMS 2515 92162-0900 1700.6213 UNIFORMS & PERSONAL EQUIP CITY HALL MAINTENANCE 88.18 UNIFORMS 2515 92162-0900 1510.6213 UNIFORMS & PERSONAL EQUIP CITY ENGINEER 33.36 UNIFORMS 2516 92899-0900 1850.6213 UNIFORMS & PERSONAL EQUIP CIVIC ARENA 986.64 100354 10/11100 101945 GALLS INC 187.97 187.97 102129 GLAESER, TOM 5.20 520 104826 GOODWATER, LEON 100.00 50 100.50 EMS PANTS, T LEATHER TOP BOOT 2394 5431467301 1450.6213 UNIFORMS & PERSONAL EQUIP FIRE - ADMINISTRATION 100355 10/11 /00 100356 10111/00 100357 10111100 100358 10111/00 • OTR 3 2000 MILEAGE 2398 20000930 DUPLICATE PLUMBING PRMT REFUND 2636 20001004 DUPLICATE PLUMBING PRMT REFUND 2636 20001004 101876 GREAT WEST LIFE INS. CO. 300.00 PE 9130100 300.00 2681 20001006 1456.6320 TRAVEL SCHOOL CONFERENCE RURAL FIREFIGHTERS 1475.4072 PLUMBING PERMITS BUILDING INSPECTION 14754891 BLDG PERMIT SURCHARGES BUILDING INSPECTION 9995.2036 ACCRUED DEFERRED COMP PAYROLL FUND B/S LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS • 101874 GRIGGS & COOPER & CO 67.45- LIQUOR 2517 544865 3000.6810 COST OF SALES -LIQUOR 608.09 WINE 2518 270342 3000.6811 COST OF SALES -WINE 24.00 BEER 2519 270343 3000.6812 COST OF SALES -BEER 1,36099 LIQUOR 2520 270341 3000.6810 COST OF SALES- LIQUOR 2650 WINE j2520 270341 300.6811 COST OF SALES -WINE 3925 MISC -2520 270341 300.6813 COST OF MIX & SOFT DRINKS 84.30- LIQUOR CREDIT 2521 545369 300.6810 COST OF SALES LIQUOR 21.96- WINE CREDIT 2522 544983 300.6811 COST OF SALES -WINE 1.03310 LIQUOR 2523 273535 300 6810 COST OF SALES - LIQUOR 111.70 MISC 2523 273535 300.6813 COST OF MIX & SOFT DRINKS 30540 LIQUOR 2524 • 273537 300.6810 COST OF SALES - LIQUOR LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS • R55CKREG3 __d20000 Check # Date Amount COST OF SALES -BEER Vendor Explanation 3368 3000.6815 436.23 LIQUOR OPERATIONS 2478 WINE 3000.6812 COST OF SALES BEER 3,771 55 2478 3395 3000.6815 100359 10/11/00 101872 H. R.L.A.P.R. 213.13 PE 9130/00 213.13 1003611 10/11 /00 105410 HAAS.TERESA 3.00 LEAGUE REFUND 3.00 100361 10111/00 102451 HANSEN DIST OF SLEEPY EYE 1,823 10 BEER 10.84 DEPOSIT /RETURN 601.30 BEER 9.60 DEPOSITIRETURN 2,404 00 100362 1011 I/00 104257 HARPER BROOMS 52,66 SHOP SUPPLIES 52.66 100363 10111/00 103872 HARRIS COMPANIES 185 w TEST & REBUILD 3/4' RP2 185 00 100364 10111100 102401 HART'S AUTO SUPPLY 6.71- 115.31 FRONT & REAR PADS 10860 100365 10/11/00 104261 HAVE TREES WILL TRAVEL 435.42 RELOCATE TREE 116.58 RELOCATE TREE 552.00 100366 10/11100 102111 HEIMAN FIRE EQUIPMENT 1,701,00 GLOVES,SUPERPASSII 1,701 M 100367 10/11/00 105420 HEINHICHS. NANCY 0 CITY OF 1. . IINSON Council Check Register 10/11/00 -- 10/11/00 PO # Doc No Inv No 2525 273536 2686 20001006 2711 49915 Account No Account De Iplicn 3000.6811 COST OF SALES -WINE 9 101, 10'.51'.43 Page- 11 Business Unit LIQUOR OPERATIONS 9995.2036 ACCRUED DEFERRED COMP PAYROLL FUND B/S 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 2477 3368 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 2477 3368 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 2478 3395 3000.6812 COST OF SALES BEER LIQUOR OPERATIONS 2478 3395 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 2440 2817 3450.6210 OPERATING SUPPLIES HATS OPERATIONS 2623 74143 3300.6370 CONTRACT REPAIR & MAINTENANOHASTEWATER ADMINISTRATION 2801 12492 9999.2230 SALES TAXES PAYABLE CASH COMPANY 2801 12492 3400.6230 REPAIR & MAINTENANCE SUPPLIEBCENTRAL GARAGE ADMIN 2756 355711 2810.6370 CONTRACT REPAIR & MAINTENANOBRPORT 2756 355711 28116360 UTILITIES AIRPORT 2401 301037 1451.7030 MACHINERY & EQUIPMENT CITY FIRE R55CKREG3 LOG20000 Check 9 Date Amount Vendor ExplanetWn 45.00 LEAGUE REFUND 45.00 100368 10/11/00 104953 HENKE, MARY 217 72 REIMS - MEALS. LODGING 217 72 CITY OF HUTCHINSON Council Check Register 10/11/00 -10/11/00 PO N Doc No Inv No 2701 50070 100369 10/11/00 102701 HENRY &ASSOCIATES 248.24 HYDRANT EXTENSION 26342 FORD CURB BOX REPAIR LID 511.66 100370 10111/00 102531 HENRYS FOODS INC 1091224 47700 TOBACCO & MISC 301.55 TOBACCO & MISC 262.80 TOBACCO 208.15 TOBACCO 403.91 TOBACCO & MISC 35841 TOBACCO & MISC 2,011.82 2548 100371 10111100 101915 HERMEL WHOLESALE 96.44 TOBACCO PURCHASE 58.98 TOBACCO PURCHASE 11658 TOBACCO PURCHASE 5106 TOBACCO PURCHASE 323 06 100372 10/11100 102518 HILLYARD FLOOR CARE/HUTCHINSON 182.41 TOWELS, WIPES, TISSUE 135.54 SCREEN DISC, RETAINER PAD 61.56 TOWELS 41,63 SCREEN DISC 421.14 100373 10111100 102961 HRA 2.000 00 700 00 2,700.00 100374 10111100 102530 HUTCHINSON CO -OP HRA ENTRY COS r ASSISTL ZEIHER PROGRAM ADMIN -C ZEIHER 10111100 10:51:43 Page- 12 Account No Account Description Business Unit 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG, & POOL 2696 20001004 2700.6320 TRAVEL SCHOOL CONFERENCE LIBRARY 2594 5238 3200.6231 EQUIPMENT PARTS WATER 2595 5218 3200.6231 EQUIPMENT PARTS WATER 2545 1091224 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2546 1095628 3000,6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2547 1099538 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2548 1104548 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2549 1103982 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2550 1108230 3000.6613 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2479 252866 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2480 253881 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2481 255232 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2482 256364 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2402 HU431339 32086212 CLEANING SUPPLIES 2601 HU437553 1850.6210 OPERATING SUPPLIES 2602 HU436017 1850.6212 CLEANING SUPPLIES 2603 HU436877 1850.6210 OPERATING SUPPLIES 2805 20001009 9116.6715 HRA TRANSFER 2806 20001009A 9117.6715 HRA TRANSFER WATER CIVIC ARENA CIVIC ARENA CIVIC ARENA HOUSING REDEVELOPMENT BIS SCDP HOUSING REHAB B/S . • R55CKREG3 L. 020000 Check# Dole Amount Vendor Explanalion 21.60 LP GAS BOTTLE 21.60 0 CITY OF H, .HINSON Council Check Register 10/11/00 -- 10111/00 PO # Doc No Inv No 2648 201427 -0900 100375 10/11100 102545 HUTCHINSON FIRE & SAFETY 30.36 EXTINGUISHER PURCHASE 30.36 100376 10111100 101956 HUTCHINSON FIRE DEPT RELIEF AS 55,220.00 STATE FIRE AID 55.220.00 100377 10111/00 101994 HUTCHINSON JAYCEES 400.00 HUTCH UTILITIES CONTRIBUTION 400.00 2642 16246 9 10/1 10:51',43 Page- 13 Account No Account Descnplion Business Unit 3450.6211 MOTOR FUELS & LUBRICANTS HATS OPERATIONS 1900.6216 SAFETY SUPPLIES PARK ADMINISTRATION 2598 20001002 1450.6163 FIRE RELIEF STATE CONTI FIRE - ADMINISTRATION 2668 20000929 90014720 REFUNDS & REIMBURSEMENTS GENERALFUND 100378 10/11/00 102537 HUTCHINSON LEADER 102541 HUTCHINSON TELEPHONE CO 82 23 OCTOBER SERVICE 106.33 OCTOBER SERVICE 18663 189.46 SEPTEMBER ADS 2565 105006 -0900 3000.6330 ADVERTISING LIQUOR OPERATIONS 21.20 SEASONAL HW 2677 101881 -0900 1710.6340 PRINTING 8 PUBLISHING PARK RECREATION ADMINISTRA 64.60 HW ADS 2677 101881 -0900 1174 6340 PRINTING 8 PUBLISHING COMMUNICATIONS- ADMINISTRAI 294 12 ASSESSMENT HRG 2677 101881 -0900 1510 6340 PRINTING & PUBLISHING CITY ENGINEER 717 24 SAMPLE BALLOT 2677 101881 -09W 1050.6340 PRINTING & PUBLISHING ELECTIONS - ADMINISTRATION 248 52 PUBLIC NOTICE 2677 101881 -0900 1130.6340 PRINTING & PUBLISHING PLANNING - ADMINISTRATION 3270 CABLE FRANCHISE 2677 101881 -0900 10306340 PRINTING & PUBLISHING CITY ADMINISTRATOR - ADM 88.08 SURPLUS PROPERTY 2677 101881 -0900 3300.6330 ADVERTISING WASTEWATER ADMINISTRATION 1,244.72 FALL COMPOSTING 2677 101881 -0900 3101 6330 ADVERTISING REFUSE & RECYCING 181.92 COMPOST COORD 2677 101881 -0900 3101.6340 PRINTING & PUBLISHING REFUSE & RECYCING 3.082.56 100379 10/11/00 102538 HUTCHINSON MEDICAL CENTER 275.00 LIQUOR HUTCH EMPLOYEE EXAM 275.00 100380 10/11100 102541 HUTCHINSON TELEPHONE CO 82 23 OCTOBER SERVICE 106.33 OCTOBER SERVICE 18663 OCTOBER SERVICE .'It OP OC tORFR SFRVICE 81 89 OCTOBER SERVICE 99 08 OCTOBER SERVICE 81.06 OCTOBER SERVICE 58 .29 OCTOBER SERVICE 2665 703016-0900 3000.6909 MISCELLANEOUS 2791 20001061 1450.6310 COMMUNICATIONS il 2791 20001001 29506310 COMMUNICATIONS 2791 20001001 1110.6310 COMMUNICATIONS 2791 RX¢11 N11 111506:1111 COMMIINk ATIONS 2791 20001W1 1900.6310 COMMUNICATIONS 2791 20001001 1710.6310 COMMUNICATIONS 2791 20001001 2610.6310 COMMUNICATIONS 2791 20001001 1171.6310 COMMUNICATIONS LIQUOR OPERATIONS FIRE - ADMINISTRATION HCDC -EDA MOTOR VEHICLE - ADMINISTRATI CIVIL: ARENA PARK ADMINISTRATION PARK RECREATION ADMINISTRA RECREATION BLDG. 8 POOL POLICE ADMINISTRATION R55CKREG3 LOG20000 CITY OF HUTCHINSON 10/11/00 10:5143 Coundl Check Register 10/11100 - 10111/00 Page- 14 Check # Date Amount Vendor ExplaralMn PO # Dec No Inv No Account No Account Description Business Unit 108.64 OCTOBER SERVICE 2791 20001001 2700.6310 COMMUNICATIONS LIBRARY 135.40 OCTOBER SERVICE 2791 20001001 1825.6310 COMMUNICATIONS SENIOR CITIZENS CENTER 44.60 OCTOBER SERVICE 2791 20001001 33006310 COMMUNICATIONS WASTEWATER ADMINISTRATION 63.00 OCTOBER SERVICE 2791 20001001 30006330 ADVERTISING LIQUOR OPERATIONS 142 05 OCTOBER SERVICE 2791 20001001 3000.6310 COMMUNICATIONS LIQUOR OPERATIONS 71.76 OCTOBER SERVICE 2792 5151 -1000 1030.6310 COMMUNICATIONS CITY ADMINISTRATOR - ADM 123.03 OCTOBER SERVICE 2792 5151 -1000 1020.6310 COMMUNICATIONS CITY COUNCIL 56.73 OCTOBER SERVICE 2792 5151 -1000 1051 COMMUNICATIONS ELECTIONS - ADMINISTRATION 176.29 OCTOBER SERVICE 2792 5151 -1000 1060.6310 COMMUNICATIONS FINANCE ADMINISTRATION 76.66 OCTOBER SERVICE 2792 5151 -1000 1125.6310 COMMUNICATIONS LEGAL 1,869.47 OCTOBER SERVICE 2792 5151 -1000 1171.6310 COMMUNICATIONS POLICE ADMINISTRATION 89.31 OCTOBER SERVICE 2792 5151 -1000 1475.6310 COMMUNICATIONS BUILDING INSPECTION 72.69 OCTOBER SERVICE 2792 5151 -loon 1130.6310 COMMUNICATIONS PLANNING - ADMINISTRATION 18.93 OCTOBER SERVICE 2792 5151 -1000 1450.6310 COMMUNICATIONS FIRE ADMINISTRATION 12.84 OCTOBER SERVICE 2792 5151 -1000 1150.6310 COMMUNICATIONS INFORMATION SERVICES ADMIN. 202 14 OCTOBER SERVICE 2792 5151 -1000 1510.6310 COMMUNICATIONS CITY ENGINEER 52.23 OCTOBER SERVICE 2792 5151 -1000 1600.6310 COMMUNICATIONS STREETS & ALLEYS 67 50 OCTOBER SERVICE 2792 5151 -1000 1700.6310 COMMUNICATIONS CITY HALL MAINTENANCE 130.76 OCTOBER SERVICE 2792 5151 -1000 1850.6310 COMMUNICATIONS CIVIC ARENA 34.13 OCTOBER SERVICE 2792 5151 -1000 1750.6310 COMMUNICATIONS RECREATION - ADMINISTRATION 63.83 OCTOBER SERVICE 2792 5151 -1000 1900.6310 COMMUNICATIONS PARK ADMINISTRATION 21.59 OCTOBER SERVICE 2792 5151 -1000 1937.6310 COMMUNICATIONS FORESTRY ADMINISTRATION 5926 OCT SERV- MCLEOD COUNTY 2792 5151- 1000 9001.1151 .1 ACCOUNTS RECEIVABLE MANUAL GENERAL FUND 6.09 OCTOBER SERVICE 2792 5151 -1000 2950.6310 COMMUNICATIONS HCDC -EDA 342.22 OCT SERV -MN DOT 2792 5151 -1000 9001 11511 ACCOUNTS RECEIVABLE MANUAL GENERAL FUND 94.57 OCTOBER SERVICE 2792 5151 -1000 2810.6310 COMMUNICATIONS AIRPORT 13.83 OCTOBER SERVICE 2792 5151 -1000 3100.6310 COMMUNICATIONS OEA- COMPOST GRANT 52121 OCTOBER SERVICE 2792 5151 -1000 3200.6310 COMMUNICATIONS WATER 9.11 OCTOBER SERVICE 2792 5151 -1000 3101.6310 COMMUNICATIONS REFUSE 8 RECYCING 542.02 OCTOBER SERVICE 2792 5151 -1000 3300.6310 COMMUNICATIONS WASTEWATER ADMINISTRATION 31.24 OCT SERV -MN TECHNOLOGY 2792 5151- 1000 9001.1151.1 ACCOUNTS RECEIVABLE MANUAL GENERAL FUND 199.11 OCTOBER SERVICE 2792 5151- 1000 3450.6310 COMMUNICATIONS HATS OPERATIONS 2426 OCTOBER SERVICE 7792 5151 -1000 2725.6310 COMMUNICATIONS CEMETERY 91150 OCTOBER NETWORK 2792 5151 -1000 2850.6326 COMPUTER TRAINING UNALLOCATED GENERAL 311 60 OCTOBER INTERNET +2792 5151 -1000 2850.6326 COMPUTER TRAINING UNALLOCATED GENERAL 7,323 48 100381 10/11100 102542 HUTCHINSON UTILITIES 3,575.44 SEPTEMBER UTILITIES 2564 20001004 1700.6360 UTILITIES CITY HALL MAINTENANCE 447 SEPTEMBER UTILITIES 2564 20001004 1420,6360 UTILITIES EMERGENCY MANAGEMENT 19698 SEPTEMBER UTILITIES 2564 20001004 1450.6360 UTILITIES FIRE - ADMINISTRATION . • R55CKREG3 L ,,i20000 Check 4 Date Amount 1,55568 75692 1,397 75 728.20 620.70 572.56 58.73 15 462.86 712.14 3264243 Vendor Explanation SEPTEMBER UTILITIES SEPTEMBER UTILITIES SEPTEMBER UTILITIES SEPTEMBER UTILITIES SEPTEMBER UTILITIES SEPTEMBER UTILITIES SEPTEMBER UTILITIES SEPTEMBER UTILITIES SEPTEMBER UTILITIES 9 1550 -090 CITY OF H, — HINSON REPAIR 8 MAINTENANCE SUPPLIETENTRAL GARAGE ADMIN Council Check Register 1550 -0900 10/11/00 — 10/11/00 OPERATING SUPPLIES CENTRAL GARAGE ADMIN PO 9 Doc No Inv No 2564 20001004 2564 20001004 2564 20001004 2564 20001004 2564 20001004 2564 20001004 2564 20001004 2564 20001004 2564 20001004 100382 10/11/00 102542 HUTCHINSON UTILITIES 2,16200 INSTAI I. Sl REET LIGHTS - AUGUST 2,162 00 100383 10/11/00 102542 HUTCHINSON UTILITIES 1,062.34 REPLACEMENT GLOBES 1,062 34 100384 10/11100 102542 HUTCHINSON UTILITIES 1,804.53 INSTALL STREET LIGHTS -SEPT 1.804 53 100385 10/11100 102542 HUTCHINSON UTILITIES 855 58 PHOTO CELLS, BULBS 855 58 100386 10/11/00 105161 HUTCHINSON UTILITIES 22,696.64 REFUND METER OVERCHARGE 22,696.64 100387 10/11/00 102543 HUTCHINSON WHOLESALE 37250 SHOP PARIS 10.60 TORCH 1.59 NUT, STUD 60.35 PARTS 4.57 SPARK PLUG 449 61 10388 10/11/00 102072 HUTCHINSON, CITY OF 48.34 SEPTEMBER REPAIRS 2757 5,361 2759 5386 2760 5396 2758 5383 Account No Account Description 34506360 UTILITIES 2700.6360 UTILITIES 3000.6360 UTILITIES 1900.6360 UTILITIES 1675.6360 UTILITIES 1825.6360 UTILITIES 2850.6360 UTILITIES 330016360 UTILITIES 3200.6360 UTILITIES 9 1011. . 10'.51:43 Page- 15 Business Unit HATS OPERATIONS LIBRARY LIQUOR OPERATIONS PARK ADMINISTRATION TRAFFIC SIGNALS SENIOR CITIZENS CENTER UNALLOCATED GENERAL WASTEWATER ADMINISTRATION WATER 1676.6210 OPERATING SUPPLIES STREET LIGHTS 1677.6210 OPERATING SUPPLIES STORM SEWER 1677.6210 OPERATING SUPPLIES STORM SEWER 1677.6210 OPERATING SUPPLIES STORM SEWER 2770 20001009 9442.1151 ,1 ACCOUNTS RECEIVABLE MANUAL REFUSE WATER SEWER B/S 2555 1550 -090 340.6230 REPAIR 8 MAINTENANCE SUPPLIETENTRAL GARAGE ADMIN 2555 1550 -0900 340 6210 OPERATING SUPPLIES CENTRAL GARAGE ADMIN Il 2555 1550 -09170 3206231 EQUIPMENT PARTS WATER 2555 1550 -0900 3300.6230 REPAIR 8 MAINTENANCE SUPPLIESNASTEWATER ADMINISTRATION 2555 1550-0900 2725.6230 REPAIR 8 MAINTENANCE SUPPLIES7EMETERY 2588 2000930 2810.6388 CENTRAL GARAGE REPAIR AIRPORT R55CKREG3 LOG20000 CITY OF HUTCHINSON 10/11/00 105143 Council Check Raglsw 10/11/00 -10111/00 Check # Dale 100389 10111/00 100390 10/11/00 • Amount 16.63 705.67 16.68 250.49 2,256.26 43.20 4,723.31 15,63 642.00 4.306.12 305.60 36690 13,69583 1,848.99 1.848 -99 Venda, Explanation PO # Dec No Inv No Account No Account Descnplion SEPTEMBER REPAIRS 2588 20000930 14756388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 2725 6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 1510 6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 14526388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 1900.6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 1171.6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 1172.6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 1177.6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 3101.6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 1600.6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 3200.6388 CENTRAL GARAGE REPAIR SEPTEMBER REPAIRS 2588 20000930 3300.6388 CENTRAL GARAGE REPAIR 102633 HUTCHINSON, CITY OF PE 9130100 Page - 16 Business Unit BUILDING INSPECTION CEMETERY CITY ENGINEER FIRE DEPT SHARED COST PARK ADMINISTRATION POLICE ADMINISTRATION POLICE PATROL ADMINISTRATIOI INVESTIGATION REFUSE & RECYCING STREETS & ALLEYS WATER WASTEWATER ADMINISTRATION 2689 20001006 9995.2244 DUE TO EMPLOYEE INSURANCE PAYROLL FUND BIS 102633 HUTCHINSON, CITY OF 433.40 COBRA- NELSON 2788 20001001 90011160 433.40 COBRA - GREGOR 2788 20001001 9001.1160 193.67 COBRA- MOGARD 2788 20001001 9001.1160 386.11 OCTOBER MEDICAL 2788 20001001 3101.6160 1,330.86 OCTOBER MEDICAL 2788 20001001 3200.6160 2,87530 OCTOBER MEDICAL 2788 20001001 3300.6160 386.11 OCTOBER MEDICAL 2788 20001001 3400.6160 386.11 OCTOBER MEDICAL 2788 20001001 2950.6160 558.64 OCTOBER MEDICAL 2788 20001001 3000.6160 1, 158.33 OCTOBER MEDICAL 2788 20001001 1030.6160 1,15833 OCTOBER MEDICAL 2788 20001001 1060.6160 386.11 OCTOBER MEDICAL 2788 20001001 1110.6160 3865 11 OCTOBER MEDICAL 2788 20001001 1150.6160 558.64 OCTOBER MEDICAL 2788 20001001 1700.6160 8,929.91 OCTOBER MEDICAL 2788 20001001 1171.6160 944.75 OCTOBER MEDICAL 1 12788 20001001 1475.6160 772.22 OCTOBER MEDICAL .2788 20001001 1130.6160 386.11 OCTOBER MEDICAL 2788 20001001 1450.6160 2,316.66 OCTOBER MEDICAL 2788 20001001 1510.6160 3,261.41 OCTOBER MEDICAL 2788 20001001 1600.6160 558.64 OCTOBER MEDICAL 2788 20001001 1400.6160 772.22 OCTOBER MEDICAL 2788 • 20001001 1710.6160 ACCTS REC -COBRA ACCTS REC -COBRA ACCTS REC -COBRA EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS BENEFIT EMPL. HEALTH & INS. BENEFIT EMPL.HEALTH & INS BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT GENERAL FUND GENERALFUND GENERALFUND REFUSE & RECYCING WATER WASTEWATER ADMINISTRATION CENTRAL GARAGE ADMIN HCDC -EDA LIQUOR OPERATIONS CITY ADMINISTRATOR - ADM FINANCE - ADMINISTRATION MOTOR VEHICLE - ADMINISTRATI INFORMATION SERVICES ADMIN. CITY HALL MAINTENANCE POLICE ADMINISTRATION BUILDING INSPECTION PLANNING - ADMINISTRATION FIRE - ADMINISTRATION CITY ENGINEER STREETS & ALLEYS SCHOOL LIAISON OFFICER PARK RECREATION ADMINISTRA- 0 R55CKREG3 L-20000 CITY OF H. ANSON Council Check Register 10111/00 -- 10/11/00 Check 9 Dale Amount 38611 772.22 3,26141 386 11 944.75 34,323.64 0 1071 10:51:43 Page- 17 Vendor Explanation PO # Doc No Inv No Account No Account Descnption Business Unit OCTOBER MEDICAL 2788 20001001 1750.6160 EMPLHEALTH & INS. BENEFIT RECREATION - ADMINISTRATION OCTOBER MEDICAL 2788 20001001 1850.6160 EMPL.HEALTH & INS. BENEFIT CIVIC ARENA OCTOBER MEDICAL 2788 20001001 1900.6160 EMPL.HEALTH & INS. BENEFIT PARK ADMINISTRATION OCTOBER MEDICAL 2788 20001001 2725.6160 EMPL. HEALTH & INS. BENEFIT CEMETERY OCTOBER MEDICAL 2786 20001001 2855.6160 EMPL. HEALTH & INS. BENEFIT HRA 100391 10111100 100392 10/11100 123.69 123.69 4904 49.04 18 20 1820 45.98 154.36 338.28 45.98 45.98 62.40 137.94 137.94 4598 45.98 62,40 1,034 54 45.98 10838 91.96 275.88 384.26 62.40 91.96 45.98 91.96 384.26 45.98 10836 4,029.62 102635 HUTCHINSON, CITY OF 102635 HUTCHINSON, CITY OF PE 9/30100 2690 20001006 9995.2244 DUE TO EMPLOYEE INSURANCE PAYROLL FUND B/S COBRA NELSON 2787 20001001 9001.1160 COBRA - TABBERSON 2787 20001001 90011160 COBRA -HAASL 2787 20001001 9001.1160 COBRA - MOGARD 2787 20001001 9001.1160 OCTOBER DENTAL 2787 20001001 31016160 OCTOBER DENTAL 2787 20001001 32006160 OCTOBER DENTAL 2787 20001001 3300.6160 OCTOBER DENTAL 2787 20001001 3400.6160 OCTOBER DENTAL 2787 20001001 2950.6160 OCTOBER DENTAL 2787 20001001 3000.6160 OCTOBER DENTAL 2787 20001001 1030.6160 OCTOBER DENTAL 2787 20001001 1060.6160 OCTOBER DENTAL 2787 20001001 1150.6160 OCTOBER DENTAL 2787 20001001 1110.6160 OCTOBER DENTAL 2787 20001001 1700.6160 OCTOBER DENTAL 2787 20001001 1171.6160 OCTOBER DENTAL 2787 20001001 1450.6160 OCTOBER DENTAL 2787 20001001 1475.6160 OCTOBER DENTAL 2787 20001001 1130.6160 OCTOBER DENTAL 2787 20001001 1510.6160 OCTOBER DENTAL 2787 20001001 1600.6160 OCTOBER DENTAL 2787 20001001 1400.6160 OCTOBER DENTAL d 2787 20001001 1710.6160 OCTOBER DENTAL .2787 20001001 1750.6160 OCTOBER DENTAL 2787 20001001 1850.6160 OCTOBER DENTAL 2787 20001001 1900.6160 OCTOBER DENTAL 2787 20001001 2725.6160 OCTOBER DENTAL 2787 20001001 2855.6160 ACCTS REC -COBRA ACCTS REC -COBRA ACCTS REC -COBRA ACCTS REC -COBRA EMPLHEALTH & INS. BENEFIT EMPLHEALTH & INS. BENEFIT EMPL. HEALTH & INS. BENEFIT EMPLHEALTH & INS. BENEFIT EMPLHEALTH & INS. BENEFIT EMPL. HEALTH & INS. BENEFIT EMPLHEALTH & INS. BENEFIT EMPLHEALTH & INS. BENEFIT EMPLHEALTH & INS. BENEFIT EMPLHEALTH & INS BENEFIT EMPLHEALTH & INS. BENEFIT EMPLHEALTH & INS BENEFIT EMPL.HEALTH & INS. BENEFIT EMPLHEALTH & INS BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPLHEALTH & INS- BENEFIT EMPL.HEALTH & INS- BENEFIT EMPLHEALTH & INS. BENEFIT EMPLHEALTH & INS. BENEFIT EMPL HEALTH & INS. BENEFIT EMPLHEALTH & INS. BENEFIT GENERALFUND GENERALFUND GENERALFUND GENERALFUND REFUSE & RECYCING WATER WASTEWATER ADMINISTRATION CENTRAL GARAGE ADMIN HCDC -EDA LIQUOR OPERATIONS CITY ADMINISTRATOR - ADM FINANCE - ADMINISTRATION INFORMATION SERVICES ADMIN. MOTOR VEHICLE - ADMINISTRATI CITY HALL MAINTENANCE POLICE ADMINISTRATION FIRE ADMINISTRATION BUILDING INSPECTION PLANNING - ADMINISTRATION CITY ENGINEER STREETS & ALLEYS SCHOOL LIAISON OFFICER PARK RECREATION ADMINISTRA' RECREATION - ADMINISTRATION CIVIC ARENA PARK ADMINISTRATION CEMETERY HRA R55CKREG3 LOG20W0 Check # Date Amount Vendor Explanation 100393 10111/00 102696 HUTCHINSON, CITY OF 916.84 LOTTERY FEES 916.84 100394 10/11/00 102771 HUTCHINSON, CITY OF 828352 LIQUOR PAYROLL 9/22/00 8,283.52 CITY OF HUTCHINSON Council Check Register 10111/00 — 10/11/00 PO R Doc No Inv No 100395 10111100 102988 HUTCHINSON, CITY OF 16,259 95 PAY OFF HILLYARD SPECIAL ASSMT 16,259.95 100396 10/11/00 103099 HUTCHINSON. CITY OF 159.08 SEPTEMBER WATER/SEWER 159.08 100397 10111100 103246 HUTCHINSON, CITY OF SEPT FUEL 6804 SEPTEMBER FUEL 155.51 SEPTEMBER FUEL 1,270.38 SEPTEMBER FUEL 64.78 SEPTEMBER FUEL 23.28 SEPTEMBER FUEL 64.92 SEPTEMBER FUEL 14227 SEPTEMBER FUEL 40.64 SEPTEMBER FUEL 194.60 SEPTEMBER FUEL 1,24026 SEPTEMBER FUEL 926.77 SEPTEMBER FUEL 128.62 SEPTEMBER FUEL 231.03 SEPTEMBER FUEL 1,269.69 SEPTEMBER FUEL 28.30 SEPTEMBER FUEL 5,849.09 MOTOR FUELS & LUBRICANTS 100398 10111100 101873 ICMA RETIREMENT TRUST 2,263 46 PE 9/30100 2,263 46 Account No Account Description 2783 20001010 3000.4465 LOTTERY SALES 2635 20001006 9441 2033 ACCRUED PAYROLL 2784 20001005 2950.7040 DEVELOPMENT COST 2532 20000930 3000.6360 UTILITIES 10111/00 10:51:43 Page - 18 Business Unit LIQUOR OPERATIONS LIQUOR FUND BIS HCDC -EDA LIQUOR OPERATIONS 2589 SEPT FUEL 1171 6211 MOTOR FUELS & LUBRICANTS POLICE ADMINISTRATION 2589 SEPT FUEL 1177.6211 MOTOR FUELS & LUBRICANTS INVESTIGATION 2589 SEPT FUEL 1172.6211 MOTOR FUELS & LUBRICANTS POLICE PATROL ADMINISTRATIOI 2589 SEPT FUEL 1450.6211 MOTOR FUELS & LUBRICANTS FIRE - ADMINISTRATION 2589 SEPT FUEL 1451.6211 MOTOR FUELS & LUBRICANTS CITY FIRE 2589 SEPT FUEL 1456.6211 MOTOR FUELS & LUBRICANTS RURAL FIREFIGHTERS 2589 SEPT FUEL 1452.6211 MOTOR FUELS & LUBRICANTS FIRE DEPT SHARED COST 2589 SEPT FUEL 1475.6211 MOTOR FUELS & LUBRICANTS BUILDING INSPECTION 2589 SEPT FUEL 1510.6211 MOTOR FUELS & LUBRICANTS CITY ENGINEER 2589 SEPT FUEL 1600.6211 MOTOR FUELS & LUBRICANTS STREETS & ALLEYS 2589 SEPT FUEL 1900 6211 MOTOR FUELS & LUBRICANTS PARK ADMINISTRATION 2589 SEPT FUEL 2725 6211 MOTOR FUELS & LUBRICANTS CEMETERY 2589 SEPT FUEL 3200.6211 MOTOR FUELS & LUBRICANTS WATER 2589 SEPT FUEL 3300.6211 MOTOR FUELS & LUBRICANTS WASTEWATER ADMINISTRATION 2589 SEPT FUEL 3000.6320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS 2679 20001006 9995.2036 ACCRUED DEFERRED COMP PAYROLL FUND B/S 100399 1 10111/00 1 102551 I INSURANCE PLANNERS 14,67 S SUUITU51_INES TAX ON 99 AUDIT 2 2673 2 2823 3 CITY OF h HINSON 10/1 10:51.43 R55CKREG3 x_620000 Counol Check Register Page - 19 10/11/00 — 10/11/00 Check # Dale Amount Vendor Explanation PO # Doc No Inv No Accounl No Account Desmptim Business Unit 182.80 AGENCY FEE ON AIRPORT LIAR 2674 2862 2810.6352 PROPERTY INSURANCE AIRPORT 197.47 100400 10111100 103520 INTERSTATE BATTERIES 234.09 SHOP SUPPLIES 2467 20007089 3400.6230 REPAIR 8 MAINTENANCE SUPPLIE8CENTRAL GARAGE ADMIN 78.76 SHOP SUPPLIES 2468 20007091 3400.6230 REPAIR R MAINTENANCE SUPPLIESEENTRAL GARAGE ADMIN 312.85 100401 10111100 102062 JACK'S UNIFORMS 8 EQUIPMENT 129.35 LIGHTS -POLC- 002 -SOD 2390 654258 3400.7030 MACHINERY 8 EQUIPMENT CENTRAL GARAGE ADMIN 129.35 100402 10/11/00 105394 JANNICKE. DONNA 800 REFUND - CANCELLED DRIVING 2726 50058 2610.4730 OTHER REVENUES RECREATION BLDG 8 POOL 800 100403 10111/00 102208 JEFF'S ELECTRIC 89.90 MATERIALS, LABOR -WWTP 2621 5344 33006305 OTHER CONTRACTUAL WASTEWATER ADMINISTRATION 89.90 100404 10/11/00 104425 JENSEN, JACKIE 150.00 LEAGUE REFUND 2578 50073 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 150.00 100405 10/11100 102554 JERABEK MACHINE SERV 506 ANGLEIRON 2439 3744 27256210 OPERATING SUPPLIES CFMETERY O6 100406 10111/00 102556 JOES SPORT SHOP 15.98 PLAQUES 2641 11236 1020.6210 OPERATING SUPPLIES CITY COUNCIL 15.98 100407 10 111 /00 101938 JOHNSON BROTHERS LIQUOR CO. 2,88355 WINE 2489 1165522 3000.6811 COST OF SALES -WINE LIQUOR OPERATIONS 301.95 WINE 2490 1162151 3000.6811 COST OF SALES -WINE LIQUOR OPERATIONS 1,48589 LIQUOR 2491 1162803 3000.6810 COST OF SALES- LIQUOR LIQUOR OPERATIONS 1,036.90 WINE 2492 1162804 3000.6811 COST OF SALES -WINE LIQUOR OPERATIONS 12.00- WINE CREDIT 2493 133088 30006811 COST OF SALES -WINE LIQUOR OPERATIONS 8.26- WINE CREDIT 2494 133315 3000 6811 COST OF SALES WINE LIQUOR OPERATIONS 6.91- WINE CREDIT 2495 133316 30006811 COST OF SALES -WINE LIQUOR OPERATIONS 1195- WINE IIRI 1)I1 24% 133318 31101111811 COSTOF. ;ALES -WINE LIQUOR OPERATIONS R55CKREG3 LOG20000 CITY OF HUTCHINSON Council Check Reglstar 10/11/00 — 10/11/00 Check # Date Amount Vendor Explanation PO # Dm No Inv No 5.25- WINE CREDIT 2497 133317 4,:W0.27 LIQUOR 2498 1165521 2,737.45 WINE 2569 1166157 1 49875 LIQUOR 2570 1166902 Amount No Account Desmlptlon 3000.6811 COST OF SALES -WINE 3000.6810 COST OF SALES - LIQUOR 3000.6811 COST OF SALES -WINE 14,243 39 COST OF SALESJIQUOR 100408 10111/00 102557 KMART 12]4 XTRA DETERGENT 12.74 100409 10/11100 105411 KIRCHOFF, TAMMY 3.00 LEAGUE REFUND 3.00 100410 10111100 102466 KKLN 350.00 SEPTEMBER ADS 35000 100411 10/11100 105390 KLAPOTZ, JEFF 925.00 WASH 8 PAINT CITY CENTER 925.00 100412 10/11/00 105245 KLEMP WISCHNACK, JULIE 219.94 REIMB- MEALS, LODGING, FUEL 219.94 100413 10111/00 103114 KLOSS, TOM 47.84 REIMB- MILEAGE 47.84 100414 10111100 102264 KOELLN, KENT 5.20 QTR 3 2000 MILEAGE 5.20 100415 10111100 104637 KRAMER, DAVE 12.00 LEAGUE REFUND 12 00 1ON10 10131100 105106 KREFT, HOLLY 230.39 REIMB - MEALS, LODGING, FUEL • 230.39 Amount No Account Desmlptlon 3000.6811 COST OF SALES -WINE 3000.6810 COST OF SALES - LIQUOR 3000.6811 COST OF SALES -WINE 3000.6810 COST OF SALESJIQUOR 10111100 10:51:43 Page - 20 Business Unit LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS 2383 20000924 1452.6210 OPERATING SUPPLIES FIRE DEPT SHARED COST 2710 49681 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 2542 791 3000.6330 ADVERTISING LIQUOR OPERATIONS 2754 20000926 1700.6370 CONTRACT REPAIR d MAINTENANOUITY HALL MAINTENANCE 2463 20000927 1130.6320 TRAVEL SCHOOL CONFERENCE PLANNING ADMINISTRATION 2413 20000925 1150.6320 TRAVEL SCHOOL CONFERENCE INFORMATION SERVICES ADMIN. 2399 20000930 1456.6320 TRAVEL SCHOOL CONFERENCE RURAL FIREFIGHTERS ii .2581 49710 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 2464 20000927 1130.6320 TRAVEL SCHOOL CONFERENCE PLANNING ADMINISTRATION • • . • RSSCKREG3 Lw20000 Check Date Amount 3000.6813 Vendor Explanation 100417 10111100 LIQUOR OPERATIONS 105377 KRUMREY, ALAN 10111/011 30006815 102563 40.00 REFUND GERMAN CLASS MEMBERSHIP DUES 40.00 7,754.00 100418 10/11/00 l0 /11AW 102561 L &PSUPPLYCO LEAGUE OF MN CITIES-INSURANCI 426.00 QTR 2 GENERAL LIABILITY GATOR RENTAL 1,187.25 25 56 QTR 2 GENERAL LIABILITY OIL 2422.50 5013 CARE KIT QTR 2 GENERAL LIABILITY 132.76 16,635.25 PARTS, LABOR QTR 2 GENERAL LIABILITY 634.45 521.00 QTR 2 GENERAL LIABILITY 100419 10/11/00 45,998.50 105392 LARSON, MITCHELL 100422 �J CITY OF E, ANSON Council Check Register 10/11/00 — 10/11/00 PO K Doc No Inv No CANCEL 2553 49349 2405 132525 2406 132833 2600 133783 2654 133599 Account No Account Descnption 2610.4730 OTHER REVENUES 9 10/1 10'.51:43 Page- 21 Business Unit RECREATION BLDG. & POOL 19006380 RENTALS PARK ADMINISTRATION 1900.6211 MOTOR FUELS & LUBRICANTS PARK ADMINISTRATION 1937.6230 REPAIR & MAINTENANCE SUPPLIESFORESTRY ADMINISTRATION 1937.6230 REPAIR & MAINTENANCE SUPPLIESFORESTRY ADMINISTRATION 2749 20000926 9442.1151.1 ACCOUNTS RECEIVABLE MANUAL REFUSE WATER SEWER BIS 2451 20000921 1020.6901 DUES & SUBSCRIPTIONS 2415 4380 2415 4380 2415 4380 2415 4380 2415 4380 2415 4380 2717 49823 12511 73402 2511 73402 2511 73402 2512 73242 2512 73242 28506351 GENLLIAB. INSURANCE 3200.6351 GENL LIAB.- INSURANCE 3300.6351 GENL LIAB.- INSURANCE 3000,6351 GENL LIAR: INSURANCE 9001.1210 DUE FROM UTILITIES 9001.1208 DUE FROM HOSPITAL CITY COUNCIL UNALLOCATED GENERAL WATER WASTEWATER ADMINISTRATION LIQUOR OPERATIONS GENERALFUND GENERALFUND 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 3000 6812 COST OF SALES -BEER 5944 3000.6813 REFUND OVERPYMT OF BILL LIQUOR OPERATIONS 3000.6815 59.44 LIQUOR OPERATIONS 3000.6812 100420 10111/011 30006815 102563 LEAGUE OF MN CITIES 7,754.00 MEMBERSHIP DUES 7,754.00 100421 l0 /11AW 102',60 LEAGUE OF MN CITIES-INSURANCI 25,050 75 QTR 2 GENERAL LIABILITY 1,187.25 QTR 2 GENERAL LIABILITY 2422.50 QTR 2 GENERAL LIABILITY 181.75 QTR 2 GENERAL LIABILITY 16,635.25 QTR 2 GENERAL LIABILITY 521.00 QTR 2 GENERAL LIABILITY 45,998.50 100422 10/11/00 105404 LEDBURY, KURT 36.00 LEAGUE REFUND 36.00 100423 10/11/00 101974 LENNEMAN BEVERAGE DIST. INC 1.88335 BEER 30.00 MISC 240- DEPOSIT /RETURN 1,277,50 BEER 14.80- DEPOSIT /RETURN 3,173,65 2405 132525 2406 132833 2600 133783 2654 133599 Account No Account Descnption 2610.4730 OTHER REVENUES 9 10/1 10'.51:43 Page- 21 Business Unit RECREATION BLDG. & POOL 19006380 RENTALS PARK ADMINISTRATION 1900.6211 MOTOR FUELS & LUBRICANTS PARK ADMINISTRATION 1937.6230 REPAIR & MAINTENANCE SUPPLIESFORESTRY ADMINISTRATION 1937.6230 REPAIR & MAINTENANCE SUPPLIESFORESTRY ADMINISTRATION 2749 20000926 9442.1151.1 ACCOUNTS RECEIVABLE MANUAL REFUSE WATER SEWER BIS 2451 20000921 1020.6901 DUES & SUBSCRIPTIONS 2415 4380 2415 4380 2415 4380 2415 4380 2415 4380 2415 4380 2717 49823 12511 73402 2511 73402 2511 73402 2512 73242 2512 73242 28506351 GENLLIAB. INSURANCE 3200.6351 GENL LIAB.- INSURANCE 3300.6351 GENL LIAB.- INSURANCE 3000,6351 GENL LIAR: INSURANCE 9001.1210 DUE FROM UTILITIES 9001.1208 DUE FROM HOSPITAL CITY COUNCIL UNALLOCATED GENERAL WATER WASTEWATER ADMINISTRATION LIQUOR OPERATIONS GENERALFUND GENERALFUND 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 3000 6812 COST OF SALES -BEER LIQUOR OPERATIONS 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 30006815 CASE DEPOSITS LIQUOR OPERATIONS CITY OF HUTCHINSON 10/11/00 10:51:43 R55CKREG3 LOG20000 Council Check Register Page- 22 10/11100 -- 10/11/00 Check # Dale Amount Vendor Explanation PO # Doc No Inv No Account No Account Description Business Unit 100424 10/11100 101984 LOCHER BROTHERS INC 5,824.75 BEER 2505 13955 3000 6812 COST OF SALES -BEER LIQUOR OPERATIONS 41 W MISC 2505 13955 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 63.20- DEPOSITIRETURN 2505 13955 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 995.20 BEER 2506 14177 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 42.00- DEPOSIT/RETURN 2506 14177 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 3,195 80 BEER 2507 14625 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 1,09140 BEER 2508 14297 3000.6812 COST OF SALES-BEER LIQUOR OPERATIONS 3,36594 BEER 2509 14298 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 103 10 MISC 2509 14298 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 40.80- DEPOSIT /RETURN 2509 14298 3000.6815 CASE DEPOSITS LIQUOR OPERATIONS 1,51922 BEER 2510 14511 3000.6812 COST OF SALES -BEER LIQUOR OPERATIONS 25.00 MISC 2510 14511 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 18.00- DEPOSIT/RETURN 2510 14511 30W.6815 CASE DEPOSITS LIQUOR OPERATIONS 15,997.41 100425 10111/00 102872 LORI'S WINDOWS 42.00 CLEAN WINDOWS 2753 121634 3000 6370 CONTRACT REPAIR & MAINTENANDHQUOR OPERATIONS 4260 100426 10/11/00 105414 MACKENTHUN, MICHELLE 18.00 LEAGUE REFUND 2707 49988 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 18.00 100427 10/11100 105399 MALLAK, ERIC 16.00 LEAGUE REFUND 2722 49849 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 16.00 100428 10/11/00 102572 MANKATO MOBILE RADIO 1,198.92 MATERIALS, LABOR POLC -002 -SQD 2662 116537 3400.7030 MACHINERY & EQUIPMENT CENTRAL GARAGE ADMIN 1,198.92 100429 10111100 105425 MAY -WES MANUFACTURING INC 3 2795 31810 9999.2230 SALES TAXES PAYABLE CASH COMPANY 50.06 SUPPLIES 1 +2795 31810 2725.6230 REPAIR & MAINTENANCE SUPPLIEMCMETERY 47.00 100430 10111/00 104909 MCDONALD, KATHY 10.00 REFUND- PRINTING CLASS CANCEL 2575 50474 2610.4730 OTHER REVENUES RECREATION BLDG. & POOL 10 -00 ♦ 0 R55CKREG3 L,20000 • CITY OF h,. - HINSON Council Check Reglster 10/11/00 - 10/11/00 Check# Dale Am0unt Vendor Explanation PO# Doc No Inv No 100431 10/11/00 105397 MCKELLIPS, CHRIS 12 00 LEAGUE REFUND 2724 50053 • loll. 10.51.43 Page - 23 Account No Account Descnptlon Business Unit 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 2414 20000831 12.00 CONTRIBUTIONS & DONATIONS PUBLIC SITE B/S 2529 100432 10/11/00 ADVERTISING 102573 MCLEOD COOP POWER 800.00 10111100 AUGUST ELECTRICAL HOOKUPS MID - AMERICA PLASTICS 600,00 12.19- 100433 10/11/00 2797 103783 MCLEOD PUBLISHING INC 386 79 135.63 2797 44177 SEPTEMBER ADS 374.60 135.63 100434 10111/00 102576 MERRILL, KENNETH B. 14874 15.00 REIMB- MEALS, MILEAGE 2713 49977 148 74 15.00 IM435 10 /11 /W 105396 MEUTH, DIANE • loll. 10.51.43 Page - 23 Account No Account Descnptlon Business Unit 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 2414 20000831 9501.4840 CONTRIBUTIONS & DONATIONS PUBLIC SITE B/S 2529 951-0900 3000.6330 ADVERTISING LIQUOR OPERATIONS 2462 20000920 1060.6320 TRAVEL SCHOOL CONFERENCE FINANCE - ADMINISTRATION 2610.4730 OTHER REVENUES 9999.2230 SALES TAXES PAYABLE 33006305 OTHER CONTRACTUAL RECREATION BLDG. & POOL CASH COMPANY WASTEWATER ADMINIS TRATION 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 9995.2040 ACCRUED MAND. CHILD SUPPORT PAYROLL FUND B/S 2950.6210 OPERATING SUPPLIES 1700.6909 MISCELLANEOUS 3200.6902 LICENSES &TAXES HCDGEDA CITY HALL MAINTENANCE WATER 3800 REFUND - CANCELLED SWIM LESSONS 2747 49794 30.00 100436 10111100 101977 MID - AMERICA PLASTICS 12.19- 2797 44177 386 79 D -45 MIX BED, TANK INSTALL 2797 44177 374.60 100437 10/11100 105408 MINER, BERNIE 15.00 LEAGUE REFUND 2713 49977 15.00 100438 10111100 102449 MINNESOTA CHILD SUPPORT PAYMEN 162.89 PE 9/30/00 268& 20001006 162.89 100439 10111/00 10.5.. d 13 MINNESOTA COUNCIL ON FOUNDATIO 70.20 GUIDE TO MN GRANT MAKERS A 2775 20001005 70.20 100440 10/11/00 101947 MINNESOTA DEPT OF LABOR & INCH 10.00 EXEMPTION INVOICE 2412 245226 10.00 EXEMPTION INVOICE 2652 245221 20.00 2610.4730 OTHER REVENUES 9999.2230 SALES TAXES PAYABLE 33006305 OTHER CONTRACTUAL RECREATION BLDG. & POOL CASH COMPANY WASTEWATER ADMINIS TRATION 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 9995.2040 ACCRUED MAND. CHILD SUPPORT PAYROLL FUND B/S 2950.6210 OPERATING SUPPLIES 1700.6909 MISCELLANEOUS 3200.6902 LICENSES &TAXES HCDGEDA CITY HALL MAINTENANCE WATER R55CKREG3 LOG20000 CITY OF HUTCHINSON 10111100 10151:43 Council Check Register Page- 24 10111100 - 10111/00 Check # Date An,Pmt Vendor Eaplanaaon 100441 10/11/00 1,078 00 1,078 00 101826 MINNESOTA DEPT OF NATURAL RESO DNR FEES TO STATE 100442 10111100 100443 10/11/00 100444 10/11/00 5.67 9.45 7.98 30.45 68.88 7.98 10.29 14.70 26.46 24.15 10 50 8.82 11.97 215.67 22.89 17.22 10.50 49.14 6741 1806 15.96 7.35 17.43 68M 8 19 1932 775.32 190.00 190.00 102569 MINNESOTA MUTUAL LIFE COBRA- NELSON COBRA - MOGARD OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER IFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE OCTOBER LIFE 102313 MINNESOTA RESORT ASSOC MEMBERSHIP 6/2000- 712001 102583 MINNESOTA VALLEY TESTING LAB 102.50 LAB TESTS 8.25 LAB TESTS PO # Doc No Inv No 2782 20001010 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2786 20001001 2766 20001001 2786 20001001 2766 20001001 ll 2411 93173 2593 56766 2615 55555 Account No Account Description 1111.4730 OTHER REVENUES 9001 1160 9001.1160 3101.6160 3200.6160 3300.6160 3400.6160 2950 6160 3000.6160 1030.6160 1060 6160 1150.6160 1110.6160 1700.6160 1171.6160 1475.6160 1130,6160 1450.6160 1510.6160 1600.6160 1400.6160 1710.6160 1750.6160 1850.6160 1900 6160 2725.6160 2855.6160 ACCTS REC -COBRA ACCTS REC -COBRA EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL HEALTH & INS. BENEFIT EMPL. HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL. HEALTH & INS. BENEFIT EMPL.HEALTH B INS. BENEFIT EMPL.HEALTH B INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT EMPL.HEALTH & INS. BENEFIT 1900.6901 DUES & SUBSCRIPTIONS 3200.6305 OTHER CONTRACTUAL 3300.6305 OTHER CONTRACTUAL Business Unit DNR REVENUE GENERALFUND GENERALFUND REFUSE & RECYCING WATER WASTEWATER ADMINISTRATION CENTRAL GARAGE ADMIN HCOC -EDA LIQUOR OPERATIONS CITY ADMINISTRATOR ADM FINANCE - ADMINISTRATION INFORMATION SERVICES ADMIN. MOTOR VEHICLE - ADMINI STRATI CITY HALL MAINTENANCE POLICE ADMINISTRATION BUILDING INSPECTION PLANNING -ADMINISTRATION FIRE - ADMINISTRATION CITY ENGINEER STREETS & ALLEYS SCHOOL LIAISON OFFICER PARK RECREATION ADMINISTRA RECREATION - ADMINISTRATION CIVIC ARENA PARK ADMINISTRATION CEMETERY HRA PARK ADMINISTRATION WATER WASTEWATER ADMINISTRATION • . 0 R55CKREG3 _,20000 0 CITYOFH, .9NSON Council Check Register 10/11/00 — 10111100 Check # Dale Amount Vendor Explanation PO # Doc No Inv No 132.50 LAB TESTS 2616 55443 71.00 LAB TESTS 2617 55733 70.00 LAB TESTS 2618 56142 Accounl No Account Desalp0on 3300.6305 OTHER CONTRACTUAL 3300.6305 OTHER CONTRACTUAL 3300.6305 OTHER CONTRACTUAL 2808 20001010 1475.6210 OPERATING SUPPLIES 2768 4020 1171.6305 OTHER CONTRACTUAL 26104730 OTHER REVENUES 0 10/1 1051:43 Page- 25 Business Unit WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION BUILDING INSPECTION POLICE ADMINISTRATION RECREATION BLDG. & POOL 81 00 REFUND -SWING DANCE CANCELLED 2551 49472 90357006 3x4.25 CHEMICALS & PRODUCTS WASTEWATER ADMINISTRATION 100445 10/11/00 10/11/00 104454 MINNESOTA'S BOOKSTORE MR. ROOTER 20001005 129.88 OPERATING SUPPLIES PREPAYMENT MERCHANDISE 129.88 100446 10/11/00 102655 MODERN MAZDA 10/11/00 34.08 MUELLER, BEV VEHICLE TOW 31 08 100447 10/11/00 105375 MOORE, JOE Accounl No Account Desalp0on 3300.6305 OTHER CONTRACTUAL 3300.6305 OTHER CONTRACTUAL 3300.6305 OTHER CONTRACTUAL 2808 20001010 1475.6210 OPERATING SUPPLIES 2768 4020 1171.6305 OTHER CONTRACTUAL 26104730 OTHER REVENUES 0 10/1 1051:43 Page- 25 Business Unit WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION WASTEWATER ADMINISTRATION BUILDING INSPECTION POLICE ADMINISTRATION RECREATION BLDG. & POOL 81 00 REFUND -SWING DANCE CANCELLED 2551 49472 2604 6840 1825.6370 CONTRACT REPAIR & MAINTENANCIENIOR CITIZENS CENTER 2698 49645 2610 4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 2633 20000928 3200.6320 TRAVEL SCHOOL CONFERENCE WATER 2605 90357006 81A0 CHEMICALS & PRODUCTS WASTEWATER ADMINISTRATION 2655 100448 10/11/00 CHEMICALS & PRODUCTS 102336 MR. ROOTER 20001005 2950.6210 OPERATING SUPPLIES 111.41 CLEAN FLOOR DRAIN 111.41 100449 10/11/00 103657 MUELLER, BEV 30.00 LEAGUE REFUND 30.00 100450 10/11100 101985 NAGY, RICHARD 210.00 REIMS -AW WA REGISTRATION FEE 210.00 100451 10111100 102590 NALCO CHEMICAL CO. 4,968.23 NALCO 9909 FLOCCULANT 3,965.29 NALCO 7390 CORROSION INHI 8 933.52 100452 10/11/00 105387 NATIONAL TRUST 19500 MEMBERSHIP 195.00 100453 10/11/00 102650 NCL 50.25 LAB SUPPLIES 50.25 2604 6840 1825.6370 CONTRACT REPAIR & MAINTENANCIENIOR CITIZENS CENTER 2698 49645 2610 4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 2633 20000928 3200.6320 TRAVEL SCHOOL CONFERENCE WATER 2605 90357006 3300.6215 CHEMICALS & PRODUCTS WASTEWATER ADMINISTRATION 2655 90359993 3200.6215 CHEMICALS & PRODUCTS WATER . 2774 20001005 2950.6210 OPERATING SUPPLIES HCDC -EDA 2614 109729 3300.6210 OPERATING SUPPLIES WASTEWATER ADMINISTRATION R55CKREG3 LOG20000 15686 2100 REPAIR & MAINTENANCE SUPPLIES -1QUOR OPERATIONS CITY OF HUTCHINSON 49882 26104730 21 00 100457 10/11/00 Council Check Regsler 105384 NORTHDALE CONSTRUCTION CO 235,133.84 L2100 EST #1 10111/00 —10111/00 Check# Date Amount 100458 Vendor Explanation PO# Doc No Inv No 100454 10/11/00 20059 101914 NCPERS LIFE INS. 200 59 12600 10/11/00 PE 9/30100 2685 20001006 81.00 126.00 REFUND -SWING DANCE CANCELLED 81.00 100455 10111/00 10/11/00 105416 NESS, PAULA PELLINEN LAND SURVEYING 269.52 30.00 LEAGUE REFUND 2705 50011 30.00 100461 10/11/00 100456 10/11/00 105417 NIEMALA, BONNIE OIL CHANGE 2704 50067 2781 20001005 10/11100 10:51:43 Page- 26 Account No Amount Desalption Business Unit 9995 2038 ACCRUED LIFE INSURANCE PAYROLL FUND B/S 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 3300.7025 IMPROV OTHER THAN BLDGS WASTEWATER ADMINISTRATION 2526 15686 2100 REPAIR & MAINTENANCE SUPPLIES -1QUOR OPERATIONS LEAGUE REFUND 49882 26104730 21 00 100457 10/11/00 105384 NORTHDALE CONSTRUCTION CO 235,133.84 L2100 EST #1 235,133 64 100458 10/11/00 102592 OLSON'S LOCKSMITH 20059 KEYS, RECODE CYLINDERS 200 59 100459 10/11/00 103864 PASS, TROY 81.00 REFUND -SWING DANCE CANCELLED 81.00 100460 10/11/00 101932 PELLINEN LAND SURVEYING 269.52 FINAL PLAT PREP -RIGHT OF WAY 269.52 FINAL PLAT PREP -RIGHT OF WAY 53904 100461 10/11/00 102479 PENSKE AUTO CENTER 15.57 OIL CHANGE 15.57 OIL CHANGE 16.68 OIL CHANGE 107,79 FUEL FILTER, ANTIFREEZE, LABOR 16.62 OIL CHANGE 172.23 100462 10/11/00 102658 PERA -O C.P. 2601 PE 9/30100 26 01 PE 0 1 2704 50067 2781 20001005 10/11100 10:51:43 Page- 26 Account No Amount Desalption Business Unit 9995 2038 ACCRUED LIFE INSURANCE PAYROLL FUND B/S 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 3300.7025 IMPROV OTHER THAN BLDGS WASTEWATER ADMINISTRATION 2526 15686 3000.6230 REPAIR & MAINTENANCE SUPPLIES -1QUOR OPERATIONS 2387 49882 26104730 OTHER REVENUES RECREATION BLDG.& POOL 2448 98159 2449 98192 2455 48171 2456 48151 2457 48097 2458 48086 2459 48078 1510.6305 OTHER CONTRACTUAL CITY ENGINEER 1510.6305 OTHER CONTRACTUAL CITY ENGINEER 3400.6370 CONTRACT REPAIR & MAINTENANOZENTRAL GARAGE ADMIN 3400.6370 CONTRACT REPAIR & MAINTENANCEENTRAL GARAGE ADMIN 3400.6370 CONTRACT REPAIR & MAINTENANOMENTRAL GARAGE ADMIN 3400.6370 CONTRACT REPAIR & MAINTENANC]ENTRAL GARAGE ADMIN 3400.6370 CONTRACT REPAIR & MAINTENANOEENTRAL GARAGE ADMIN 2693 20001006 9995.2243 DUE TO PERA- D.C.P. 2694 • 20001nO(0 99952241 DUE TO OTHER-PERA PAYROLL FUND BIS PAYROLL FUND B/S • 6 0 R55CKREG3 620000 Check # Dale Amount OPERATING SUPPLIES Vendor Explanation 20000930 1456.6320 52.02 RURAL FIREFIGHTERS 2607 121452 100463 10111100 OEA- COMPOST GRANT 105407 PETTET, RICH 12.00 LEAGUE REFUND 1200 . 100464 10111/00 101853 PHILLIPS WINE & SPIRITS 3400 BEER 98.00 LIQUOR 76625 LIQUOR 39650 WINE 258.05 WINE 423.00 WINE 1,97580 100465 10111/00 102373 PINNACLE DISTRIBUTING 818.05 MISC 818.05 100466 10/11/00 102656 PIONEER 8810 PAINT, PRIMER 88.20 100467 10/11/00 101903 POPP, JIM 5 20 OTR 3 2000 MILEAGE 5.20 100468 10 /11 /00 102493 PREMIER TECH PACKAGING 87,024.00 PROGRESSIVE BILLING 87,024.00 100469 10/11/00 101877 PRUDENTIAL 7500 HE 9130/00 75.00 100470 10/11100 102096 PRUDENTIAL MUTUAL FUNDS 30.00 PE 9 /30 /00 30.00 100471 10 /11 /00 102615 PURI IC EMPLOYEES 7,788.11 PE 9/10/110 LJ CITY OF h, HINSON Council Crack Regaler 10111100 — 10/11/00 PO # Doc No Inv No Account No Account Description 0 10/. 1051:43 Page - 27 Business Unit 2714 49161 26104280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 2484 644873 2485 649353 2486 647274 2487 647275 2488 649354 2568 650450 3000.6812 COST OF SALES -BEER 3000.6810 COST OF SALES - LIQUOR 3000.6810 COST OF SALES - LIQUOR 3000.6811 COST OF SALES WINE 3000.6811 COST OF SALES -WINE 3000.6811 COST OF SALES -WINE LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS 2557 35369 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2407 INV73137 1900.6210 OPERATING SUPPLIES PARK ADMINISTRATION 2397 20000930 1456.6320 TRAVEL SCHOOL CONFERENCE RURAL FIREFIGHTERS 2607 121452 3100.7030 MACHINERY & EQUIPMENT OEA- COMPOST GRANT 2682 20001006 2683 20001006 2691 20001006 9995.2036 ACCRUED DEFERRED COMP PAYROLL FUND BUS 9995.2036 ACCRUED DEFERRED COMP PAYROLL FUND B/S 9995.2241 DUE TO OTHER -PERA PAYROLL FUND B/S R55CKREG3 LOG20000 Check # Date Amount COST Vendor Explanation 2483 880752 9,50507 COST OF PE 9130100 2574 882732 17,293 18 COST OF SALES -WINE 100472 10/11/00 3000.6810 102598 QUADE ELECTRIC SALES - LIQUOR 2794 884030 151 76 COST OF LAMPS 151 76 100473 10/11 MID 102052 QUALITY WINE 8 SPIRITS CO 4,336 77 LIQUOR 428 76 WINE 185.73 WINE 5,50659 LIQUOR 89.99 WINE 10 547.84 100474 10/11/00 103158 QUAST, GENISE 3.28 REIMS -CARD 3.28 100475 10/11100 104357 QUINLAN PUBLISHING 74.78 SUBSCRIPTION RENEWAL 74 78 100476 10111/00 102398 R & R EXCAVATING 13 496.11 1-4/00 EST #5 13,496.11 100477 10/11/00 105403 RANNOW, DEB 45.00 LEAGUE REFUND 45.00 100478 10/11/00 102218 RASKE BLDG SYSTEMS 165,130.00 COMPOSTING FACILITY 165,130,00 - 100479 10/11100 105266 RESERVE ACCOUNT 557.71 SEPTEMBER POSTAGE 557.70 SEPTEMBER POSTAGE 81.41 SEPTEMBER POSTAGE CITY OF HUTCHINSON Council Check Register 10/11100 — 10/11/00 PO # Doc No Inv No Account No Account Description 2692 20001006A 9995.2241 DUE TO OTHER -PERA 2441 87315 17006210 OPERATING SUPPLIES 2483 880752 3000.6810 COST OF SALES -LIQUOR 2483 880752 3000.6811 COST OF SALES -WINE 2574 882732 3000.6811 COST OF SALES -WINE 2794 884030 3000.6810 COST OF SALES - LIQUOR 2794 884030 3000.6811 COST OF SALES -WINE 2389 20000921 1600.6205 OFFICE SUPPLIES 2656 10545700 2778 20001006 2718 49990 2672 20000927 3100.7020 BUILDINGS 2563 17157100 -000 3300.6311 POSTAGE 0 2563 17057100-090 3200.6311 POSTAGE 0 2563 • 17057100 -090 1030.6311 POSTAGE 1475.6901 DUES & SUBSCRIPTIONS 10111/00 10:51:43 Page- 28 Business Unit PAYROLL FUND B/S CITY HALL MAINTENANCE LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS LIQUOR OPERATIONS STREETS & ALLEYS BUILDING INSPECTION 9364.7025 IMPROV OTHER THAN BLDGS 20001MPROV CONSTRUCTION BP 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL OEA- COMPOST GRANT WASTEWATER ADMINISI RATION WATER CITY ADMINISTRATOR - ADM • r0 R55CKREG3 L. 120000 Check Dale Amount Vendor Explanalmn 78.77 SEPTEMBER POSTAGE 2849 SEPTEMBER POSTAGE 12144 SEPTEMBER POSTAGE 65.03 SEPTEMBER POSTAGE 24.43 SEPTEMBER POSTAGE 50.38 SEPTEMBER POSTAGE 174 35 SEPTEMBER POSTAGE 10.23 SEPTEMBER POSTAGE 129.25 SEPTEMBER POSTAGE 2.64 SEPTEMBER POSTAGE 11.55 SEPTEMBER POSTAGE 28.40 SEPTEMBER POSTAGE 2.97 SEPTEMBER POSTAGE 41.58 SEPTEMBER POSTAGE 2.64 SEPTEMBER POSTAGE 12.98 SEPTEMBER POSTAGE 594 SEPTEMBER POSTAGE 8.91 SEPTEMBER POSTAGE 4 95 SEP rEMBEIt POS I AGE 31.46 SEPTEMBER POSTAGE 0 0 CITYOFH, ,.11NSON 10/1. 10:51:43 Council Check Register Page - 29 10111100 - 10/11/00 PO # Doc No Inv No Account No Account Description Business Unit 0 2563 17057100 -090 1171.6311 POSTAGE POLICE ADMINISTRATION 0 2563 17057100 -090 106(16311 POSTAGE FINANCE - ADMINISTRATION 0 2563 17057100 -090 1110.6311 POSTAGE MOTOR VEHICLE - ADMINISTRATI 0 2563 17057100 -000 1475.6311 POSTAGE BUILDING INSPECTION 0 2563 17057100090 1510.6311 POSTAGE CITY ENGINEER 0 2563 17057100 -090 1130.6311 POSTAGE PLANNING - ADMINISTRATION 0 2563 17057100 -090 1750.6311 POSTAGE RECREATION - ADMINISTRATION 0 2563 17057100090 3400.6311 POSTAGE CENTRAL GARAGE ADMIN 0 2563 17057100090 3000.6311 POSTAGE LIQUOR OPERATIONS 0 2563 17057100 -090 1020.6311 POSTAGE CITY COUNCIL 0 2563 17057100 -090 1710.6311 POSTAGE PARK RECREATION ADMINISTRA 0 2563 17057100 -090 1450.6311 POSTAGE FIRE ADMINISTRATION 0 2563 17057100090 1600.6311 POSTAGE STREETS 8 ALLEYS 0 2563 17057100090 18256311 POSTAGE SENIOR CITIZENS CENTER 0 2563 17057100 -090 1850.6311 POSTAGE CIVIC ARENA 0 2563 17057100 -090 1900.6311 POSTAGE PARK ADMINISTRATION 0 2563 17057100-090 1937,6311 POSTAGE FORESTRY ADMINISTRATION 0 2563 17057100 -090 2810.6311 POSTAGE AIRPORT 0 2563 17057100 -1P90 2725 631 1 POSTAGE CEMETERY 0 2563 17057100 -090 10506311 POSrAGE ELECTIONS - ADMINISTRATION 0 R55CKREG3 LOG20000 CITY OF HUTCHINSON 10111100 10:51:43 Council Check Register Page - 30 10/11100 - 10111100 Check A Date Amount Vendor Explanation PO n Doc No Inv No Account No Account Description Business Unit 7.17 SEPTEMBER POSTAGE 2563 17057100 -09/1 2950.6311 POSTAGE HCDC -EDA 1510.6245 SMALL TOOLS 27.00 0 950513 -0900 LEAGUE REFUND 2693 SEPTEMBER POSTAGE 2563 17057100 -090 9001.1207 DUE FROM HRA GENERAL FUND 100481 10/11/00 950513 -0900 0 RIDER BENNETT EGAN &ARUNDEL 2646 19.91 SEPTEMBER POSTAGE 2563 17057100- 090 3450.6311 POSTAGE HATS OPERATIONS 2810.6210 1,398 18 AIRPORT 0 PROFESS SERVICES 3400.6210 8.58 SEPTEMBER POSTAGE 2563 17057100- 090 9001 1151.1 ACCOUNTS RECEIVABLE MANUAL GENERAL FUND 10/11/00 102358 0 2706 50000 2659 3011419 2660 3014192 2452 23013 2465 20000925 2562 20000911 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 1125.6305 OTHER CONTRACTUAL LEGAL 1125.6305 OTHER CONTRACTUAL LEGAL 1060.6320 TRAVEL SCHOOL CONFERENCE FINANCE - ADMINISTRATION 2950.6320 TRAVEL SCHOOL CONFERENCE HCDC -EDA 9364.7010 LAND 20001MPROV CONSTRUCTION B/: 2393 950516 -0900 2,09600 OPERATING SUPPLIES FIRE DEPT SHARED COST 2643 100480 10/11/00 REPAIR & MAINTENANCE 105415 RIBAR, KIM 950508 -0900 1510.6245 SMALL TOOLS 27.00 .2645 950513 -0900 LEAGUE REFUND REPAIR & MAINTENANCE SUPPLIESNASTEWATER ADMINISTRATION 27.00 950513-0900 3300.6210 OPERATING SUPPLIES 100481 10/11/00 950513 -0900 102156 RIDER BENNETT EGAN &ARUNDEL 2646 950507-0900 635.10 SMALL TOOLS HATS OPERATIONS PROFESS SERVICES 950507 -0900 2810.6210 1,398 18 AIRPORT 2646 PROFESS SERVICES 3400.6210 OPERATING SUPPLIES 2,03328 100482 10/11/00 102358 RIDGEWATER COLLEGE 270.00 REG-E SCHULTZ, D SWANSON 270.00 100483 10/11/00 104668 ROCK, CHRISTIE 378.68 REIMB- MEALS, MILEAGE, LODGING 378.68 100484 10/11100 105382 ROLF,WADE &TAMRA 1,600.00 REPLANTING TREES 1,60000 100485 10111100 102225 RUNNINGS SUPPLY 16.12 CABLE TIES, ELBOW, PRES PIPE 45.42 SUPPLIES 58.55 OPEN REEL TAPE 54.14 SPRAY GUN, ROUND -UP 35.13 HD W E 202.34 DEHUMIDIFIER 107.54 GRINTER, TOOL BOX 45.78 BROOM, CABLE, FITTING • 41.52 TOW STRAP 2706 50000 2659 3011419 2660 3014192 2452 23013 2465 20000925 2562 20000911 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 1125.6305 OTHER CONTRACTUAL LEGAL 1125.6305 OTHER CONTRACTUAL LEGAL 1060.6320 TRAVEL SCHOOL CONFERENCE FINANCE - ADMINISTRATION 2950.6320 TRAVEL SCHOOL CONFERENCE HCDC -EDA 9364.7010 LAND 20001MPROV CONSTRUCTION B/: 2393 950516 -0900 1452.6210 OPERATING SUPPLIES FIRE DEPT SHARED COST 2643 950510 -0900 3200.6230 REPAIR & MAINTENANCE SUPPLIESNATER 2644 950508 -0900 1510.6245 SMALL TOOLS CITY ENGINEER .2645 950513 -0900 3300.6230 REPAIR & MAINTENANCE SUPPLIESNASTEWATER ADMINISTRATION 2645 950513-0900 3300.6210 OPERATING SUPPLIES WASTEWATER ADMINISTRATION 2645 950513 -0900 3300.7030 MACHINERY & EQUIPMENT WASTEWATER ADMINISTRATION 2646 950507-0900 3450.6245 SMALL TOOLS HATS OPERATIONS 2646 950507 -0900 2810.6210 OPERATING SUPPLIES AIRPORT 2646 950507 -0900 3400.6210 OPERATING SUPPLIES CENTRAL GARAGE AOMIN R55CKREG3 LVG20000 CITY OF Hr..- HINSON 1011. 1 10'.51.43 Council Check Register Page - 31 10/11/00 - 10/11/00 Check If Dale Amount Vendor Eaplanatlnn PO 4 Doc No Inv No Account No Account Descriptbn Business Unit 153 33 RADIO 2646 950507- 0900 3400.7030 MACHINERY & EQUIPMENT CENTRAL GARAGE ADMIN 38.31 GREASE GUN 2646 950507 -0900 1600.6231 EQUIPMENT PARTS STREETS & ALLEYS 307.65 PAINT, ETC 2646 950507 -0900 2725.7020 BUILDINGS CEMETERY 59.14 HAMMER 2646 950507 -0900 2725.6245 SMALL TOOLS CEMETERY 120.59 SILICONE. HOSE, ETC 2646 950507 -0900 2725.6235 LANDSCAPE MATERIALS CEMETERY 76.42 MOTOR TUNEUP 2646 950507 -0900 2725.6215 CHEMICALS& PRODUCTS CEMETERY 33.90 SUPPLIES 2646 950507 -0900 2725.6230 REPAIR & MAINTENANCE SUPPLIEMEMETERY 146.10 AIR TANK, GAUGE, ETC 2647 950505-0900 1900.6210 OPERATING SUPPLIES PARK ADMINISTRATION 22.33 RAKE 2647 950505 -0900 1937.6245 SMALL TOOLS FORESTRY ADMINISTRATION 3.72 CONCRETE 2647 950505 -0900 1937.6210 OPERATING SUPPLIES FORESTRY ADMINISTRATION 15.93 SPRINKLER, COUPLE 2647 950505 -0900 2610.6210 OPERATING SUPPLIES RECREATION BLDG. & POOL 330 73 PUMP, GATE 2647 950505 -0900 19006230 REPAIR & MAINTENANCE SUPPLIES°ARK ADMINISTRATION 914.69 100486 10111/00 101981 SAFETY KLEEN 20445 SERVICE MACHINE 2620 13882889 33006305 OTHER CONTRACTUAL WASTEWATER ADMINISTRATION 204.45 100487 1()/11/00 102621 SALTMAN, THE 41.02 SOFTNER SALT 2382 12514 3450.6210 OPERATING SUPPLIES HATS OPERATIONS 41.02 100488 10111100 104746 SCAN AIR FILTER 140.62 20X119 MSLINK 2392 70718 1700.6210 OPERATING SUPPLIES CITY HALL MAINTENANCE 140.62 100489 10/11100 105413 SCHLUETER, CHAR 39.00 LEAGUE REFUND 2708 50052 2610 4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 39.00 100490 10/11/00 101900 SCHRAMM, STEVE 5.85 OTR 3 2000 MILEAGE 2395 20000930 1456.6320 TRAVEL SCHOOL CONFERENCE RURAL FIREFIGHTERS S85 100491 10/11/00 102749 SENIOR CENTER ADVISORY BOARD 1,608.00 VOLUN PEER CONCESSION WORKERS .2583 20001005 2610.6122 WAGES TEMPORARY EMPLOYEES RECREATION BLDG.& POOL 1,608.00 100492 10111/00 105372 SETON NAMEPLATE COMPANY 616- 2798 C508278 -01 9999.2230 SALES TAXES PAYABLE CASH COMPANY 11146 MAGNETIC BADGE HOLDER 2798 C508278 -01 3300.6213 UNIFORMS & PERSONAL EQUIP WASTEWATER ADMINISTRATION R55CKREG3 LOG20W0 510618 98.00 CITY OF HUTCHINSON LIQUOR OPERATIONS 100496 10111100 3000.6810 105149 SONDERGAARD, LOUELLA 2572 508740 Council Check Register OPERATING SUPPLIES REFUND SENIOR TOUR 2572 508740 30.00 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 100497 10111/00 — 10/111(10 3000.6813 105400 SONNEK, WENDY Check # Dale A.... REPAIR & MAINTENANCE SUPPLIESCENTRAL Vendor E.plranation PO # Doc No Inv No Account No Account Description 100 6.16- 105424 2799 C505214 -01 9999.2230 SALES TAXES PAYABLE 52.74 185.51 MAGNETIC BADGE HOLDER 2799 C505214 -01 1900.6210 OPERATING SUPPLIES 174 78 52 74 100499 10111/1N) MAGNETIC BADGE HOLDER 2799 C505214 -01 1850.6210 OPERATING SUPPLIES 14.25 204.62 MISC 175.00 SUPPLIES 100403 10111/00 32.60 104781 SKB ENVIRONMENTAL 49.70 MISC 1,350.00 25.20 GRINDING MUNCH 2606 29795 3101.6305 OTHER CONTRACTUAL 1,350.00 10/11100 102747 ST. JOSEPH'S EQUIPMENT INC 100494 10/11/00 SHOP PARTS 105378 SMITH, TIM 6200 . 80.00 REFUND - GERMAN CLASS CANCEL 2554 50422 26104730 OTHER REVENUES 80.00 1lH)'195 10/11/00 104910 SNAPP, KRISTIN ' 98.00 REFUND- CANCELLED SCUBA DIVE 2576 49412 2610.4730 OTHER REVENUES 10/11/00 10:51:43 Page- 32 Business Unit CASH COMPANY PARK ADMINISTRATION CIVIC ARENA REFUSE 8 RECYCING RECREATION BLDG. & POOL RECREATION BLDG. 8 POOL 2752 20001009 1825.4285 SR CENTER TRIP REVENUE SENIOR CITIZENS CENTER 2721 49864 2803 2896 2803 2696 2610 4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 99992230 SALES TAXES PAYABLE CASH COMPANY 3400 6210 OPERATING SUPPLIES CENTRAL GARAGE ADMIN 2571 510618 98.00 COST OF MIX 8 SOFT DRINKS LIQUOR OPERATIONS 100496 10111100 3000.6810 105149 SONDERGAARD, LOUELLA 2572 508740 30.00 OPERATING SUPPLIES REFUND SENIOR TOUR 2572 508740 30.00 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 100497 10111/00 3000.6813 105400 SONNEK, WENDY 2466 SI91431 45.00 REPAIR & MAINTENANCE SUPPLIESCENTRAL LEAGUE REFUND 45.00 100 10/11/00 105424 SOURCE ONE SUPPLY INC 10.73- 185.51 BLACK TRACTION SPRAY 174 78 100499 10111/1N) 103363 ST. CLOUD RESTAURANT SUPPLY 14.25 MISC 175.00 SUPPLIES 32.60 SUPPLIES 49.70 MISC 25.20 MISC 296 75 100500 10/11100 102747 ST. JOSEPH'S EQUIPMENT INC 62.00 SHOP PARTS 6200 . 10/11/00 10:51:43 Page- 32 Business Unit CASH COMPANY PARK ADMINISTRATION CIVIC ARENA REFUSE 8 RECYCING RECREATION BLDG. & POOL RECREATION BLDG. 8 POOL 2752 20001009 1825.4285 SR CENTER TRIP REVENUE SENIOR CITIZENS CENTER 2721 49864 2803 2896 2803 2696 2610 4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 99992230 SALES TAXES PAYABLE CASH COMPANY 3400 6210 OPERATING SUPPLIES CENTRAL GARAGE ADMIN 2571 510618 3000.6813 COST OF MIX 8 SOFT DRINKS LIQUOR OPERATIONS 2571 510618 3000.6810 COST OF SALES- LIQUOR LIQUOR OPERATIONS 2572 508740 3000.6210 OPERATING SUPPLIES LIQUOR OPERATIONS 2572 508740 3000,6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS -2573 509662 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2466 SI91431 3400.6230 REPAIR & MAINTENANCE SUPPLIESCENTRAL GARAGE ADMIN R55CKREG3 _ -20IAID Check # Dale Amount Vendor Explanatinn 100501 10/11/00 14754891 102612 STANDARD PRINTING Inv No 2766 61404 145.00 61567 JULY NEWSLETTER 145.00 100503 AUGUST NEWSLETTER 103913 290 00 100502 10/11100 102504 STAR TRIBUNE REIMB- MILEAGE 0 Account Description CITY OF IINSON PRINTING 8 PUBLISHING Council Check Register COMPOST SITE COORDINATIOR AD 10/11/00 — 10111/00 14754891 PO # Disc No Inv No 2766 61404 2767 61567 Account No Account Description 478.00 PRINTING 8 PUBLISHING 1825.6340 COMPOST SITE COORDINATIOR AD 20001004 14754891 239.00 BUILDING INSPECTION 2396 COMPOST SITE COORDINATIOR AD 1456.6320 TRAVEL SCHOOL CONFERENCE 717.00 100503 10/11/00 103913 STARK, BRIAN 31 85 REIMB- MILEAGE 31.85 100504 10/11/00 105280 STATE TREASURER 110.35 PLAN REVIEW FEES 110.35 100505 10/11/00 105280 STATE TREASURER 4,341.94 OTR 3 2000 SURCHARGE REPORT 4,341 94 100506 10/11100 102671 STOTTS, CASEY 7.15 OTR 3 2000 MILEAGE 7.15 100507 10111100 103055 SUPERIOR FORD INC 145.80 PATS 145.60 100508 10/11/00 1033% TAUER, JOE 16.00 LEAGUE REFUND 16.00 100509 10/11/00 102659 TEK MECHANICAL 35- 101.92 GALV PIPE, LABOR 101.57 100510 10/11/00 101879 TEMPLETON INC Account No Account Description 1825.6340 PRINTING 8 PUBLISHING 1825.6340 PRINTING 8 PUBLISHING 2403 515810001 3101.6330 ADVERTISING 2404 550948001 3101.6330 ADVERTISING 0 10h 10:51.43 Page- 33 Business Unit SENIOR CITIZENS CENTER SENIOR CITIZENS CENTER REFUSE & RECYCING REFUSE 8 RECYCING 2667 20001002 3000.6320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS 2450 43300001581 1475.6305 OTHER CONTRACTUAL BUILDING INSPECTION 2666 20001004 14754891 BLDG PERMIT SURCHARGES BUILDING INSPECTION 2396 20000930 1456.6320 TRAVEL SCHOOL CONFERENCE RURAL FIREFIGHTERS 2663 424353 3400.7030 MACHINERY 8 EQUIPMENT CENTRAL GARAGE ADMIN 2697 50001 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG. 8 POOL 2800 1387 9999.2230 SALES TAXES PAYABLE CASH COMPANY 2800 1387 3450.6370 CONTRACT REPAIR S MAINTENANOBATS OPERATIONS R55CKREG3 LOG20000 Check 4 Dale Amount Vendor Explanation 70.00 PE 9130/00 70.00 CITY OF HUTCHINSON Coundl Check Register 10n 1/00 - 10/11/00 PO M Doc No Inv No 2684 20001006 100511 10111/W 101879 TEMPLETON INC 319,17 EMPLOYER CONTRB -G PLOTZ 319.17 100512 10/11100 105406 TILLMANN. BRIAN 1800 LEAGUE REFUND 18.00 100513 10111/00 105257 TNEMEC COMPANY INC 76.84 H -B EPDXOLINE TIGER EYE 76,84 100514 10/11/00 105389 TOPLINE ADVERTISING 3000 REFUND BUILDING PERMIT 50 REFUND BUILDING PERMIT 30.50 100515 10/11/00 102620 TRI CO WATER 39.14 BOTTLE WATER 11.18 BOTTLE WATER 50,32 11109111 Inn 111111 102126 TRUE VALUE 1315 -0900 3.67 KEYS 1191 BATTERIES 361 ANT KILLER 13.88 SUPPLIES 117.38 SPRINKLER, HOSE, SUPPLIES 3821 RENTAL, GAS DEPOSIT 30.94 SPRINKLERS 19.16 PAINT 19.16 PAINT 4.53 DRILL BIT 123.11 SUPPLIES 4685 LAWN SEED 14.51 BATTERIES. FLY RIBBON 7 26 UPS 52 15 PAIN I ID W E 2773 20001001 2715 40805 2634 10101851 2751 20001006 2751 20001006 2527 24448 -0900 2585 71886-0900 2528 1315 -0900 2528 1315 -0900 2528 1315 -0900 2528 1315 -0900 2528 1315 -0900 2528 1315 -0900 2528 1315 -0900 2528 1315 -0900 X2528 1315 -0900 .2528 1315 -0900 2528 1315 -0900 2528 1315 -0900 2528 1315 -0900 2528 1315 -0'110 2528 • 1315 -090() 10/11/00 10 51A3 Page- 34 Account No Account Description Business Unit 99952036 ACCRUED DEFERRED COMP PAYROLL FUND B/S 1030,6166 CITY ADM DEF COMP EMPLOYER CORY ADMINISTRATOR - ADM 2610A280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 3300,6230 REPAIR B MAINTENANCE SUPPLIERNASTEWATER ADMINISTRATION 1475.4071 BUILDING PERMITS BUILDING INSPECTION 1475.4891 BLDG PERMIT SURCHARGES BUILDING INSPECTION 3000.6210 OPERATING SUPPLIES LIQUOR OPERATIONS 1900.6210 OPERATING SUPPLIES PARK ADMINISTRATION 1510,6210 OPERATING SUPPLIES CITY ENGINEER 1700 6210 OPERATING SUPPLIES CITY HALL MAINTENANCE 1825.6230 REPAIR & MAINTENANCE SUPPLIESSENIOR CITIZENS CENTER 1900.6210 OPERATING SUPPLIES PARK ADMINISTRATION 1900.6230 REPAIR 8 MAINTENANCE SUPPLIESPARK ADMINISTRATION 1900,6380 RENTALS PARK ADMINISTRATION 2610.6210 OPERATING SUPPLIES RECREATION BLDG, & POOL 2725.6210 OPERATING SUPPLIES CEMETERY 2725.6230 REPAIR 8 MAINTENANCE SUPPLIETEMETERY 2725.6245 SMALL TOOLS CEMETERY 2810,6210 OPERATING SUPPLIES AIRPORT 2810.6235 LANDSCAPE MATERIALS AIRPORT 3101 6210 OPERATING SUPPLIES REFUSE & RECYCING 3200.6311 POSTAGE WATER 32006230 REPAIR& MAINTENANCE SUPPI E9NAI ER • R55CKREG3 ­620000 0 CITY OF 1 ,HINSON Council Check Register 10/11/00 - 10/11/00 0 101. 1051:43 Page - 35 Check N Dale Amount Vendor Explanation PO p Doc No Inv No Account No Account Description Business Unit 11.17 PLIERS 2528 1315 -0900 3200.6245 SMALL TOOLS WATER 168.63 SUPPLIES 2528 1315-0900 3300.6210 OPERATING SUPPLIES WASTEWATER ADMINISTRATION 15.04 UPS 2528 1315-0900 3300 -6311 POSTAGE WASTEWATER ADMINISTRATION 17.76 HAMMER, SLEDGE HANDLE 2528 1315 -0900 3300.6245 SMALL TOOLS WASTEWATER ADMINISTRATION 24.14 MAINT SUPPLIES 2528 1315 - 0900 3400.6230 REPAIR & MAINTENANCE SUPPLIE�CENTRAL GARAGE ADMIN 1.28 HARDWARE 2649 1790 -0900 1452,6230 REPAIR & MAINTENANCE SUPPLIE9 DEPT SHARED COST 6.32 SEPT PURCHASE 2771 1325 -0900 30D0,6210 OPERATING SUPPLIES LIQUOR OPERATIONS 75067 100517 10/11/00 102624 UNITED BUILDING CENTERS L54 NAILS 1848 99569 1900,6230 REPAIR & MAINTENANCE SUPPLIETARK ADMINISTRATION 3.83 NAILS 1849 99514 1900.6230 REPAIR & MAINTENANCE SUPPLIEEPARK ADMINISTRATION 16.83 ANCHOR STUD 1850 99186 27257020 BUILDINGS CEMETERY 159.64 BUILDING MATERIALS 1851 99499 27257020 BUILDINGS CEMETERY 52.07- CREDIT RETURNS 1861 14312 2725.7020 BUILDINGS CEMETERY 184 25- CREDIT RETURNS 1862 14275 2725.7020 BUILDINGS CEMETERY 4.25 RE -BAR TIE WIRE 2158 100028 2810.7025 IMPROV OTHER THAN BLDGS AIRPORT 5.31 CHALK LINE REEL 2159 100067 1600.6210 OPERATING SUPPLIES STREETS & ALLEYS 77.26 FACIA BRACKET, CONNECTORS 2443 100137 2725.7020 BUILDINGS CEMETERY 14,46 THREADED ROD 2444 100017 1680.6210 OPERATING SUPPLIES SPECIAL SIGNS 18.30 STAKES 2445 100003 1680.6210 OPERATING SUPPLIES SPECIAL SIGNS 107.51 GUTTER 2446 100153 2725.7020 BUILDINGS CEMETERY 178.92- CREDIT 2761 14173 2725.7020 BUILDINGS CEMETERY 95 21 SHINGLES 2762 97988 2725.7020 BUILDINGS CEMETERY % CREDIT 2763 14153 2725.7020 BUILDINGS CEMETERY 1060- CREDIT 2764 14139 2725.7020 BUILDINGS CEMETERY 5,309.03 ROOF TRUSSES 2765 97453 2725.7020 BUILDINGS CEMETERY 5,291.29 100518 10/11/00 102359 US FILTER DISTRIB GROUP 396.77 TOUCH PAD 2597 6755452 3200.6238 METERS & METER PARTS WATER 396.77 100519 10111100 103210 USA BLUE BOOK 17.47- 2796 371121 9999.2230 SALES TAXES PAYABLE CASH COMPANY 305.64 RING PRESERVER, LIFE ROPE - 2796 371121 3300.6216 SAFETY SUPPLIES WASTEWATER ADMINISI RATION 288.17 100520 10/11100 105402 VAN NURDEN LENAE 33.00 LEAGUE REFUND 2719 50437 2610 4280 RECREATION ACTIVITY FEES RECREATION BLDG. & POOL 33.1X1 R55CKREG3 LOG20000 Check # Dale Nnount Vendor 100521 10/11/00 102132 VIKING COCA COLA 78.65 78.65 100522 10111/00 102630 VIKING SIGNS 38.00 325.00 106.50 32500 794.50 100523 10111/00 101880 WADELL&REED 150.00 150.00 100524 10 /11 /00 101871 WAL -MART 3.15- 24.88 7.07 28.80 100525 10/11/00 105122 WASTE MANAGEMENT 20,678 64 10,046.08 24.00 88.80 25.70 52.14 449.96 224.98 112.49 56.25 112.49 28.12 112,49 112 49 50.25 5625 168.74 28.11 CITY OF HUTCHINSON Council Check Register 10/11100 -10111/00 Enplanatlon PO # Doc No Inv No POP PURCHASE 2561 8023357 LOT SIGN - INDUSTRIAL PARK STRIPE PKG- POLC- 004 -TK5 REPAIR SQUAD DOOR - POLC - 005 -SQD LOGO -POLC- 002 -SQD BE 9130 /0 CREDIT POTPOURRI CANDY POTPOURRI, FRAG OIL SEPTEMBER PICKUP SEPTEMBER RECYCLING OCTOBER SERVICE OCTOBER SERVICE REMAINING SEPT SERVICE MAY SERVICE OCTOBER SERVICE-CITY BUILDINGS OCTOBER SERVICE-CITY BUILDINGS OCTOBER SERVICE -CITY BUILDINGS OCTOBER SERVICE -CITY BUILDINGS OCTOBER SERVICE-CITY BUILDINGS OCTOBER SERVICE -CITY BUILDINGS OCTOBER SERVICE -CITY BUILDINGS OCTOBER SERVICE CITY BUILDINGS OCTOBER 6ERVICE -CITY BUILDINGS OCTOBER SERVICE -CITY BUILDINGS OCTOBER SERVICE -CITY BUILDINGS OCTOBER SERVICE-CITY BUILDINGS • 2442 386 2638 255 2639 308 2640 380 10/11700 10:51'.43 Page- 36 Amount No Amount Descnptbn Business Unit 3000.6813 COST OF MIX & SOFT DRINKS LIQUOR OPERATIONS 2950.6210 OPERATING SUPPLIES HCDC {DA 3400.7030 MACHINERY & EQUIPMENT CENTRAL GARAGE ADMIN 3400.6370 CONTRACT REPAIR & MAINTENANEgNTRAL GARAGE ADMIN 3400.7030 MACHINERY& EQUIPMENT CENTRAL GARAGE ADMIN 2687 20001006 9995.2036 ACCRUED DEFERRED COMP PAYROLL FUND B/S 2384 5619 1825.6210 OPERATING SUPPLIES SENIOR CITIZENS CENTER 2385 4607 1764.6210 OPERATING SUPPLIES ADAPTIVE RECREATION 2386 8965456 1825.6210 OPERATING SUPPLIES SENIOR CITIZENS CENTER 2657 20000930 3101.6362 REFUSE - HAULING REFUSE & RECYCING 2658 20000930A 3101.6363 REFUSE - RECYCLING REFUSE & RECYCING 2789 1593 - 0057385 1450.6363 REFUSE - RECYCLING FIRE ADMINISTRATION 2790 1593 - 057417 30006363 REFUSE - RECYCLING LIQUOR OPERATIONS 2790 1593 - 0057417 3000.6363 REFUSE - RECYCLING LIQUOR OPERATIONS 2790 1593 - 0057417 3000.6363 REFUSE - RECYCLING LIQUOR OPERATIONS 2793 1593 -0057384 1900.6363 REFUSE - RECYCLING PARK ADMINISTRATION 2793 1593 - 0057384 1900.6363 REFUSE - RECYCLING PARK ADMINISTRATION 2793 1593 - 0057384 2610.6363 REFUSE - RECYCLING RECREATION BLDG. & POOL 2793 1593-0057384 1850.6363 REFUSE - RECYCLING CIVIC ARENA 2793 1593 - 0057384 1825.6363 REFUSE - RECYCLING SENIOR CITIZENS CENTER 2793 1593- 0057384 14506363 REFUSE - RECYCLING FIRE - ADMINISTRATION 2793 1593- W57384 1900.6363 REFUSE - RECYCLING PARK ADMINISTRATION 2793 1593 - 0057384 1700.6363 REFUSE RECYCLING CITY HALL MAINTENANCE 2793 1993 - (X)57184 1t7563ti3 REFUSE RECYCLING Pol ICE BUILDING MAIN I t NANCE 2793 1593 - 0057384 330.6363 REFUSE RECYCLING WASTEWATER ADMINISTRATION 2793 1593 - 057384 330.6363 REFUSE - RECYCLING WASTEWATER ADMINISTRATION 2793 1593 -0057384 2700.6363 REFUSE - RECYCLING LIBRARY • 3000.6812 COST OF SALES -BEER 30006811 COST OF SALES -WINE 0 1011 10:51:43 Page- 37 Business Unit PARK ADMINISTRATION REFUSE 8 RECYCING CITY HALL MAINTENANCE WASTEWATER ADMINISTRATION LIQUOR OPERATIONS LIQUOR OPERATIONS 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG- 8 POOL 9301.6301 PROFESSIONAL SERVICES CAPITAL IMPROVEMENTS B/S 331,14 ANTIFREEZE 2461 PC000347367 3400.6211 MOTOR FUELS S LUBRICANTS CENTRAL GARAGE ADMIN 331.14 1,116,262.29 Grand Total P ayment Instrument T Check Total 1,116,262.29 Total Payments 1,116,262.29 60.00 R55CKREG3 Lw20000 CITY OF h. .HINSON 100527 10/11/00 103452 WINE COMPANY, THE CouWl Check Register 9200 . 10/11/00 — 10/11/00 BEER 2566 Check # Date Amount Vendor Explanation PO # Doc No Inv No Account No Aaaount Description WINE 224.98 OCTOBER SERVICE -CITY BUILDINGS 2793 1593- 0057384 1900.6363 REFUSE RECYCLING 40.00 CARDBOARD RECYCLING 2793 1593- 0057384 3101,6363 REFUSE - RECYCLING 10/11/00 10.00 OFFICE PAPER RECYCLING 2793 1593 - 0057384 1700.6363 REFUSE - RECYCLING 32,708'16 30.00 100526 10/11/00 102165 WELCOME NEIGHBOR 4981[ 30.00 6000 SEPTEMBER LISTING 2772 20001006 3300.6330 ADVERTISING 3000.6812 COST OF SALES -BEER 30006811 COST OF SALES -WINE 0 1011 10:51:43 Page- 37 Business Unit PARK ADMINISTRATION REFUSE 8 RECYCING CITY HALL MAINTENANCE WASTEWATER ADMINISTRATION LIQUOR OPERATIONS LIQUOR OPERATIONS 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG- 8 POOL 9301.6301 PROFESSIONAL SERVICES CAPITAL IMPROVEMENTS B/S 331,14 ANTIFREEZE 2461 PC000347367 3400.6211 MOTOR FUELS S LUBRICANTS CENTRAL GARAGE ADMIN 331.14 1,116,262.29 Grand Total P ayment Instrument T Check Total 1,116,262.29 Total Payments 1,116,262.29 60.00 100527 10/11/00 103452 WINE COMPANY, THE 9200 . BEER 2566 4634( 264.00 WINE 2567 46335 356.00 100528 10/11/00 105405 WINTER, KIM 30.00 LEAGUE REFUND 2716 4981[ 30.00 100529 10/11100 105208 WOLD ARCHITECTS 8 ENGINEERS 6,434.90 PREDESIGN WORK - COMMUNITY CTR 2675 101-3 6 4:14.90 100530 10/11/00 102634 ZIEGLER INC 3000.6812 COST OF SALES -BEER 30006811 COST OF SALES -WINE 0 1011 10:51:43 Page- 37 Business Unit PARK ADMINISTRATION REFUSE 8 RECYCING CITY HALL MAINTENANCE WASTEWATER ADMINISTRATION LIQUOR OPERATIONS LIQUOR OPERATIONS 2610.4280 RECREATION ACTIVITY FEES RECREATION BLDG- 8 POOL 9301.6301 PROFESSIONAL SERVICES CAPITAL IMPROVEMENTS B/S 331,14 ANTIFREEZE 2461 PC000347367 3400.6211 MOTOR FUELS S LUBRICANTS CENTRAL GARAGE ADMIN 331.14 1,116,262.29 Grand Total P ayment Instrument T Check Total 1,116,262.29 Total Payments 1,116,262.29 r R55CKREG3 LOG20WO CITY OWHINSON CounGl Check Register 10/18 — 10118/00 Clock 6 Data Amount Vendor Fxplanatim PO 6 Doc No Im 140 Account 140 Account Deutiptim 1OD531 10118/00 101889 102060 CHANHASSEN DINNER THEATRES 29.00 961.00 FISH 8 GAME FEES TO STATE 31 -1 TICKETS 2936 G23450 1825.6305 OTHER CONTRACTUAL 961.00 100535 10/18/00 101WO 100532 10118/00 104022 EVEN-TEMP CONSTRUCTION 49. 00 FISH 8 GAME FEES TO STATE 2931 13,579.68 CARPENTRY 8 ELECTRICAL 2941 20001018 8869.6651 HOUSING REHAB LOANS 13,579.88 10118/00 102341 KARG, VAN loos 3 10118/00 104022 EVEN -TEMP CONSTRUCTION TRAVEL CHARGES - LIQUOR HUTCH 2940 20001017 7,550.00 PLUMBINGICARPENTRYAWINDOWS 2942 20DO1018A 86 70.6651 HOUSING REHAB LOANS 1114.4730 OTHER REVENUES 1114.4730 OTHER REVENUES 16 \ 10:53:19 Pape - 1 Business Unit SENIOR CITIZENS CENTER Cheryl KodMe Doug Anderean FISH 8 CAME FISH & GAME 3000.15320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS 3000.8330 ADVERTISING LIQUOR OPERATIONS 1456.6320 TRAVEL SCHOOL CONFERENCE RURAL FIREFIGHTERS 2810.8380 UTILITIES AIRPORT 3000.6320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS 7,550.00 100534 10118100 101889 HUTCHINSON, CITY OF 29.00 FISH 8 GAME FEES TO STATE 2930 20001011 29.01) 100535 10/18/00 101WO HUTCHINSON, CITY OF 49. 00 FISH 8 GAME FEES TO STATE 2931 20001017 49.00 100538 10118/00 102341 KARG, VAN 125.00 TRAVEL CHARGES - LIQUOR HUTCH 2940 20001017 125.00 100537 10/18100 102468 KKLN 1,000.00 SEPTEMBERADS 2934 792 1,OW.00 100538 10118 103034 KOELLN, BRIAN 530 OTR 3 2000 MILEAGE 2935 20000930 530 100539 10118100 102573 MCLEOD COOP POWER 827.73 SEPTEMBER UTILITIES 2933 20000928 827.73 100540 10118/00 102342 MIDWESTE%PO 994.00 REGISTRATION FEES - LIQUOR HUTCH 2938 20001017 994.00 100541 10/18001 101626 MINNESOTA DEPT OF NATURAL RESO 1114.4730 OTHER REVENUES 1114.4730 OTHER REVENUES 16 \ 10:53:19 Pape - 1 Business Unit SENIOR CITIZENS CENTER Cheryl KodMe Doug Anderean FISH 8 CAME FISH & GAME 3000.15320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS 3000.8330 ADVERTISING LIQUOR OPERATIONS 1456.6320 TRAVEL SCHOOL CONFERENCE RURAL FIREFIGHTERS 2810.8380 UTILITIES AIRPORT 3000.6320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS ' J9 R5SCKREG3 LOG20000 CITY OF Hl7R'ROJSON Council Check Register 10/18/00 — 10116/00 Check # Date An=ht Vendor Explan non PO # Doc No Inv No 271.00 DNR FEES TO STATE 2932 20001017 100546 10/18100 102164 WEGNER. NEIL 100.00 CASH ADVANCE- PARKING FEES 100.00 37,043.93 Grand Total 2945 886346 2939 20001017 Account No Accent DawAptlon 1111.4730 OTHER REVENUES 3000.6870 COST OF SALESNJQUOR 10/20:53:19 Page- 2 Budross Unit DNR REVENUE LIQUOR OPERATIONS 3000.6320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS 2943 3411 3450.6211 MOTOR FUELS & LUBRICANTS HATS OPERATIONS 2944 612EO75054 -1 -- 271.00 UNALLOCATED GENERAL - - 100542 10/18100 102052 QUALITY WINE & SPIRITS CO. DUE FROM UTILITIES GENERAL FUND 2,396.58 OCTOBER PURCHASE 2944 612EO75054 -1 2,398.58 DUE FROM HOSPITAL GENERAL FUND 100543 10/1800 103040 RADISSON HOTEL ST. PAUL 755.46 LODGING FEES -000OR HUTCH 755.46 100544 10118100 103832 RCH INC _ 8.233.88 DIESEL FUEL 8,233.88 100545 10118100 102628 USWESTCOMMUN 55.40 OCTOBER SERVICE 55.40 OCTOBER SERVICE 55.40 OCTOBER SERVICE 100546 10/18100 102164 WEGNER. NEIL 100.00 CASH ADVANCE- PARKING FEES 100.00 37,043.93 Grand Total 2945 886346 2939 20001017 Account No Accent DawAptlon 1111.4730 OTHER REVENUES 3000.6870 COST OF SALESNJQUOR 10/20:53:19 Page- 2 Budross Unit DNR REVENUE LIQUOR OPERATIONS 3000.6320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS 2943 3411 3450.6211 MOTOR FUELS & LUBRICANTS HATS OPERATIONS 2944 612EO75054 -1 2850.6326 COMPUTER TRAINING UNALLOCATED GENERAL DDO 2944 612EO75054 -1 9001.1210 DUE FROM UTILITIES GENERAL FUND 000 2944 612EO75054 -1 9001.1206 DUE FROM HOSPITAL GENERAL FUND 000 2937 20001017 3000,6320 TRAVEL SCHOOL CONFERENCE LIQUOR OPERATIONS Payment Instrument T otals Check Total 37,D43.93 Total Payments 37,043.93 PAYROLL ACCOUNT - PAYROLL OF OCTOBER 2& 2000 PERIOD ENDING: 10/14/00 FOR COUNCIL LIST ONLY - ELECTRONIC TRANSFER TO STATE AND IRS DO NOT ISSUE CHECKS FOR THIS PAGE AMOUNT 017,584.46 $10,616.25 0475.07 028, 575.77 $6,529.75 04,461.57 9995.2240 Employer Contribution - Social Security 9995.2242 Employer Contribution - Medicare 010,991.32 Sub -Total - Employer Contribution 039, 667.09 08,804.70 PEID ACCT# NAME DESCRIPTION 9995.2034 WITH. TAX Employee Contribution - Federal Tex ACCOUNT 9995.2040 Employee Contribution - Soc. Security 9995.2242 Employee Contribution - Medicare Sub -Total - Employee Contribution Grand Total - Withholding Tax Account LIQUOR FUND WATER/SEWER GENERALFUND HATS FUND 9995.2035 MN DEPT OF REVENUE ELECTRONIC FUNDS TRANSFERS MN DEPT OF REV -SALES TAX MN DEPT OF REV -SALES TAX MN DEPT OF REV -CIVIC ARENA TAX MN DEPT OF REV -HATS FUEL TAX 23331.00 7374.00 365.00 643.60 9 n U Bank ACCOUd OD002252 CASH R04570 CITY OF HUTCHINSON 10/24/00 16:06:37 Version Create Payment Control Groups Page 1 Bank ACCOUd OD002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Insbument Check Payment Pay Through Date 1024/00 ...... .. Payee .............. ShNb .. Document. ...... Due Invoice Payment Discount Number Name / Mailing Addr Message Ty Number Itm C Da te Number _ A mount Taken 101826 MINNESOTA DEPT OF NATURAL DNR FEES TO STATE PV 3182 001 09999 10f24100 20001024 649.00 101826 MINNESOTA DEPT OF NATURA RESOURCES RESOURCES Payment Amount 649.00 101827 AG SYSTEMS COUPLER PV 3156 001 09999 1024/00 043253 8.05 101027 AG SYSTEMS Payment Amount 8.05 - 101838 BLACK HILLS AMMUNITION AMMUNITION PV 3177 001 09999 1024/00 113341 903.00 10183BBLACK HILLS AMMUNITION Payment Amount 903.00 101853 PHILLIPS WINE B SPIRITS OCTOBER PURCHASE PV 3029001 09999 1024/00 654059 117.45 101853 PHILLIPS WINE B SPIRITS OCTOBER PURCHASE PV 3030001 09999 1024/00 654060 426.00 OCTOBER PURCHASE PV 3031 001 09999 1024100 654058 1,747.23 OCTOBER PURCHASE PV 3032 001 09999 1024100 651753 2,064.18 Payment Amount 4,354.86 101856 VOSS LIGHTING 6 PK METAL HALID PV 2919 001 09999 1024/00 2077040 200.26 101856 VOSS LIGHTING Payment Amount 200.28 101857 VIKING OFFICE PRODUCTS MONTHLY PLANNER PV 2828 001 09999 1024/00 839120 14.97 101857 VIKING OFFICE PRODUCTS Payment Amount 14.97 101869 HUTCHINSON, CITY OF SEPTEMBER LODGING TAX PV 2904 001 09999 1024/00 20000930 115.80 101869 HUTCHINSON, CITY OF Payment Amount 115.80 FISH 8 GAME FEES TO STATE PV 3181 001 09999 1024/00 20701024 85.00 101869 HUTCHINSON. CITY OF ,0 • • RD4570 CITY OF HUTCHINSON 1024100 16:06:37 Version Create Payment Control Groups Page - 2 Bank Account 00002252 CASH Version LOG20D01 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024/00 ...... .. Payee .............. Stub .. Document....... Due Invoice Payment Discount Number Name / Melling Address — Message — Ty Number Itm Co Date Number — Amount Taken Payment Amount 85.00 101871 WAL -MART 6 PK MC CASSETTE PV 2839 001 09999 1024100 4137 18.98 101871 WAL -MART ROUGHTOTE. MAGNET, FRESHNEIPV 2871 001 09999 1024/00 137457 11.85 MARKERS, SUNCARE PV 2948 001 09999 1024/00 8965276 14.13 STORAGE BOXES PV 3094 001 09909 102400 1914269 10.59 Payment Amount 53.55 101872 H.RI.A.P.R. PE 10114 PV 3203 001 09999 1024/00 20001020 213.13 101872 H.R.LAP.R. Payment Amount 213.13 1018731CMA RETIREMENT TRUST PE 10114 PV 3195 001 09999 1024100 20001020 2 ,26146 1018731CMA RETIREMENT TRUST Payment Amount 2,263.46 101874 GRIGGS & COOPER & CO OCTOBER PURCHASE PV 3000 001 09999 1024100 277107 2,838.58 101874 GRIGGS & COOPER & CO OCTOBER PURCHASE PV 3001 001 09999 1024/00 277109 149.50 OCTOBER PURCHASE PV 3002 001 099% 1024/00 277108 2,334.15 OCTOBER PURCHASE PV 3003 001 09999 102000 2803&7 3,93730 OCTOBER PURCHASE PV 3004 001 09999 1024/00 280385 745,10 OCTOBER PURCHASE PV 3093 D01 09999 1024100 280384 970.98 Payment Amount 10,976.01 101875 GREAT WEST LIFE INS. CO. PE 10114 PV 3197 001 09999 1024/00 20001020 300.00 101875 GREAT WEST LIFE INS. CO. Payment Amount 300.00 101876 AETNA VARIABLE LIFE ASS. CO. PE 10/14 PV 3196 001 09999 1024100 20001020 595.00 101876 AEfNA VARIABLE LIFE ASS. CO. R04570 s CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG2DD01 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024100 . .. .. Payee .............. Stub .. Document....... Due Involce Payment Number Name / Melling Address Messag Ty Number Ilm Co Date Number Amount _ Payment Amount 595.00 101877 PRUDENTIAL PE 1(Y14 PV 3198 001 09999 10124/00 20001020 75.00 Payment Amount 75.00 101879 TEMPLETON INC PE 10114 PV 3200 001 09999 1024/00 20001020 70.00 Payment Amount 70.00 101880 WADELL & REED PE 10114 PV 3204 001 09999 102400 20001020 150.00 Payment Amount 150.00 101889 MID - MINNESOTA HOT MIX INC TN FINES PV 2895 001 09999 10/24/00 3266 102.17 TN FINES PV 2896 001 09999 10/24100 3301 5621 TN FINES PV 3169 001 1024100 3381 54 -27 Payment Amount 212.65 101898 EMANS, BRAD REIMS- MEALS, PARKING, LODGINGPV 3123 001 09999 1024/00 20001023 388.71 PaymentAmount 388.71 101900 SCHRAMM, STEVE REIMB - MEALS, MILEAGE, LODGINGPV 3215 001 09999 1024/00 20001023 522.26 Payment Amount 52216 101903 POPP, JIM REIMB - MEALS, MILEAGE, LODGINGPV 3217 001 09999 1024/00 20001023 417.05 Payment Amount 417.05 101907 JIM'S ')EN SERVICE BLADE & PULVERIZE PV 3109 001 09999 1024' 1 180 37.28 Discount Taken 0 10/24/00 16:06:37 Page- 3 101877 PRUDENTIAL 101879 TEMPLETON INC 101880 WADELL & REED 101889 MID - MINNESOTA HOT MIX INC 101898 EMANS, BRAD 101900 SCHRAMM, STEVE 101903 POPP, JIM 101907 JIM'S r BEN SERVICE t R04570 • CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH 3728 Version L01320001 132.00 Orlgnalar CKRISHNAMO 51.06 Payment Instrument Check Payment 132.90 101916 BERNICK'S PEPSI COLA Pay Through Date 10124100 75.05 .... .. Payee .............. Stub .. Document....... Due Number Name / Mailing Address Massage _ Ty Number 8m Co Date _._. 192.13 101925 BECKER ARENA PRODUCTS 426.53 Payment Acount 101914 NCPERS LIFE INS. PE 10114 PV 3201 001 09999 1024/00 20001020 852.73 101938 JOHNSON BROTHERS LQUOR Payment Amount 101915 HERMEL WHOLESALE OCTOBER PURCHASE PV 3113 001 09999 1024100 258839 1,462.80 OCTOBER PURCHASE PV 3114 001 09999 1024100 260005 Payment Amount 101916 BERNICK'S PEPSI COLA POP - PV 2827 001 09999 1024100 40005 OCTOBER PURCHASE PV 3133001 09999 1024/00 43346 OCTOBER PURCHASE PV 3134001 09999 1024/00 46645 OCTOBER PURCHASE PV 3141 001 09999 1024/00 43347 Payment Amount 101919 AMERICAN FAMILY INS CO. PE 10114 PV 3202 001 09999 1024100 20001020 Payment Amount 101925 BECKER ARENA PRODUCTS ADHESIVE PV 2824001 09999 10124/00 23301 POWDER PAINT, LIQUID PAINT PV 2825 001 09999 1024100 23210 ADHESIVE, REDUCER STRIP, PAINTPV 2826 001 09999 1024100 23258 Payment Amount 101938 JOHNSON BROTHERS LIQUOR CO.00TOBER PURCHASE PV 2990 001 09999 10624/00 1171163 OCTOBER PURCHASE PV 2991 001 09998 10/24/00 1168315 OCTOBER PURCHASE PV 2992 001 09999 1024100 1168316 OCTOBER PURCHASE PV 2993 001 09999 1012 '168501 • 10f24100 16:06:37 Page- 4 Inw Payment Discount Numb Amount T aken 3728 132.00 101914 NCPERS LIFE INS. 132.00 68.08 101915 HERMEL WHOLESALE 51.06 119.14 — 132.90 101916 BERNICK'S PEPSI COLA 101.30 75.05 22,30 331.55 86.82 101919 AMERICAN FAMILY INS CO. 86.82 192.13 101925 BECKER ARENA PRODUCTS 426.53 455.71 1,074.37 852.73 101938 JOHNSON BROTHERS LQUOR CO. 6,704.56 919.15 1,462.80 R04570 Bank Account 00002252 CASH Version LOG20001 Orlglnstor CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024100 ...... .. Payee .............. Stub Number Name/ Melling Address Message OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE 101950 DOSTAL, ROSA REIMB- FOOTWEAR REIMS 101963 WITTE SANITATION SEPTEMBER SERVICE DUMPSTER RENTAL SEPTEMBER SERVICE 101974 LENNEMAN BEVERAGE DIST. INC OCTOBER PURCHASE OCTOBER PURCHASE 101964 LOCHER BROTHERS INC OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE OCTOBER PURCHASE 9 CITY OF HUTCHINSON Create Payment Control Groups .. Document....... Due Invoke Ty Number Itm Co Date Number PV 2994 001 09999 10!24/00 1171355 PV 2995 001 09999 10124/00 1171356 PV 29% 001 09999 10124100 1166901 PV 2997 001 09999 10rz4/00 1164194 PV 2998 001 09999 1024/00 1169016 PV 2999 001 09999 1024/00 1171164 Payment Amount PV 3042 001 09999 1024/00 20001002 Payment Amount PV 2884 001 09999 1024100 10893-0900 PV 2885 001 09999 1024/00 12745-0900 PV 2906 001 09999 102000 10943-0900 Payment An aunt PV 2979 001 09999 1024/00 73585 PV 2980 001 119999 1024/00 73786 Payment Amount PV 2983 001 09999 1024/00 15254 PV 2984 001 09999 1024/00 14624 PV 2985 001 09999 1024/00 15135 PV 2986 001 09999 1024100 14942 PV 2987 001 09999 1024100 14943 PV 2988 001 09999 1024/00 14819 PV 2989 001 09999 102000 14626 PV 3140 001 09999 1024 15465 Payment Discount A mount Taken 7,357.75 1,575,00 570.00 62.10 1,156.90 5,500.65 26,161.64 50.00 50.00 94.92 160.08 62.86 317.86 2,526.30 1,17820 3,704.50 395.25 41.70 948.90 4,003.60 125.50 1,272.60 9,401.70 65.70 e 10124100 16:06:37 Page - 5 101950 DOSTAL, ROSA 101963 WITTE SANITATION 101974 LENNEMAN BEVERAGE DIST. INC 101984 LOCHER BROTHERS INC R04570 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 OdgInetar CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10124/00 . _ .... .. Payee ........ ..... Stub .. Document....... Due Invoke Number Name / Mailing Address Mes Ty Number I tm Go Date Number Payment Amount 102021 RODEBERG, JOHN REIMB- MEALS, PARKING PV 3028 001 09999 1024100 20001009 Payment Amount 102027 MINNESOTA DEPT OF PUBLIC CONNECT & OPERATIONS CHARGE IN 2863 W 1 09999 1024/00 MN04302001C SAFETY • Payment Amount 102039 BENNETT OFFICE TECHNOLOGIESSERVICE CONTRACT PV 2818 001 09999 10./24(00 109446 Payment Amount 102050 CROW RIVER AUTO PARTS, LABOR PV 2890 001 09999 1024100 11682 PARTS, LABOR PV 2891 001 09999 1024100 11737 PARTS, LABOR PV 2892 001 09999 1024/00 11681 LABOR, TRK CHARGE PV 3157 001 09999 1024/00 11606 PARTS, LABOR PV 3158 001 09999 1024/00 11801 Payment Amount 102052 QUALITY WINE & SPIRITS CO. OCTOBER PURCHASE PV 3118 001 099% 10724/00 BBT749 OCTOBER PURCHASE PV 3119 001 09999 102000 889309 OCTOBER PURCHASE W 3120001 09998 1024/00 889133 OCTOBER PURCHASE PV 3121 001 09999 1024100 888282 OCTOBER PURCHASE PV 3122 001 099% 1024/00 BB8325 OCTOBER PURCHASE PV 3142001 09999 1024/00 808321 Payment Amount Payment Dka unt A mount Taken 16,254.95 122.68 122.68 390.00 390.60 15.00 1,190.84 272.14 120.77 57.96 150.94 1,792.65 4,347.47 154.29 75.09 1,647.52 81.95 9,088.01 15,394.33 0 1024100 16:06:37 Page- 6 102021 RODEBERG. JOHN 102027 MINNESOTA DEPT OF PUBLIC SAFETY 102039 BENNETT OFFICE TECHNOLOGIES 102050 CROW RIVER AUTO 102052 OALITY WINE & SPIRITS CO. R04570 CITY OF HUTCHINSON Create Payment Control Groups Bank A=unt 00002252 CASH Verslon LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024/00 ...... .. Payee .......... ... Stub .. Document....... Due Invoke Payment Number Name / Meiling Address Massage Ty Number IIm Co Date Num Amount 102058 U.S. CAVALRY TROUSER PV 2865 001 09999 1024100 3602699 25.58 TROUSER PV 2866 001 09999 1024/00 3602777 49.76 Payment Anaunt 75.34 102062 JACKS UNIFORMS 8 EQUIPMENT SAF ZERO G VEST PV 2842 001 099% 102400 254963 554.75 SAF ZERO G VEST PV 2843 001 09999 1024/00 254962 554.75 SAF ZERO G VEST PV 2844 001 09999 1024/00 356899 554.75 UNIFORMS PV 2845 001 09999 1024/00 254452 492.10 UNIFORMS PV 2846 001 09999 1024/00 254920 33.65 UNIFORM SHIRTS, BUTTONS PV 3098 001 09999 1024100 454582 49.85 LIGHTS COLT 9MM PV 3097 001 09999 1024/00 454531 618.00 UNIFORMS PV 3098 001 09989 10124/OO 454526 174.85 LIGHTS FOR COLT 9MM SMG PV 3172 001 09999 1024/00 356744 62335 TRANSFER KIT PV 3173 001 09999 1024/00 254510 71.75 Payment Amount 3,728.20 102072 HUTCHINSON, CITY OF OCTOBER VEHICLE RENT PV 3059 001 09998 10/24100 20001024 15,086.00 Payment Amount 15,086.00 102093 MANKATO MACK SALES MIRROR PV 2893 001 09999 10.24/00 128001 52.78 Payment Amount 52.78 102096 PRUDENTIAL MUTUAL FUNDS PE 10114 PV 3199 001 099% 1024/00 20001020 30,00 Payment Amount 30.00 102101 MINI A PAGING PAGER RENTAL OCT -DEC PV 2819 001 09999 102 0425510008 25.88 Discount Taken 0 1024/00 16:06:37 Page - 7 102058 U.S. CAVALRY 102062 JACKS UNIFORMS 6 EQUIPMENT 102072 HUTCHINSON, CITY OF 102093 MANKATO MACK SALES 102096 PRUDENTIAL MUTUAL FUNDS 102101 MINN' 1 PAGING 0 9 R04570 CITY OF HUTCHINSON Version Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Inebement Check Payment Pay Through Data 10/24/00 ...... Payee ............. Stub .. Document. ..... Due Invoice Number Nam / Maili Address �� _— - -— Message Ty Num ber In Co Dat Number Payment Amount 102117 CAROUEST AUTO PARTS SEPTEMBER PURCHASES PV 3125 001 09999 10/24100 213500 -0900A Payment Amount 102119 HOLT MOTORS INC PARTS PV 3152 001 09999 10/24/00 134887 Payment Amount 102121 CROW RIVER VET CLINIC SEPTEMBER SERVICE PV 3110 001 09999 10/24/00 2219 -0900 Payment Amount 102126 TRUE VALUE SEPTEMBER PURCHASES PV 2847 001 09999 10124/00 1825 -0900 SEPTEMBER PURCHASES PV 3126001 09999 1024/00 1315 -0900A Payment Amount 102129 GLAESER, TOM REIMB- MEALS, LODGING PV 3214 001 09999 1024/00 20001024A Payment Amount 102132 VIKING COCA COLA OCTOBER PURCHASE PV 3135 001 09999 1024/00 8023632 OCTOBER PURCHASE PV 3136001 09999 1024/00 8023906 OCTOBER PURCHASE PV 3137 001 09999 1024/00 8024182 OCTOBER PURCHASE PV 3138 001 09999 1024/00 8024183 Payment Amount 102145 M -R SIGN STREET SIGNS PV 2899 001 09999 1024/00 109182 SIGNS PV 2929 001 09999 1024/00 109314 Payment Discount Amount Taken 25.88 — 47.30 47.30 337.07 337.07 93.11 340.74 433.85 361.69 361.69 96.15 130.25 1520 47,60 289.20 491.82 101.96 9 10/24/00 10:06:37 Pape- 8 102117 CAROUEST AUTO PARTS 102119 HOLT MOTORS INC 102121 CROW RIVER VET CLINIC 102126 TRUE VALUE 102129 GLAESER, TOM 102132 VIKING COCA COLA 102145 M -R SIGN R04570 • CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Orlginetor CKRISHNAMO Payment Ineeument Check Payment Pay Through Date 1024100 ..... . Payee .............. Stub .. Document .t. ...... Due Invoice Number Name/ Meiling Address — — Message Ty — Number Itm Co D ata Number _ — Payment Amount 102171 KOHN, SUE REIMB -MEALS PV 3060 001 09999 10/24/00 20001020 Payment Artwunt 102175 ROWEKAMP ASSOC ARCVIEW 3.2 FOR WINDOW PV 3111001 09M 1024/00 200201 Payment Amount 102205 LEO'S TRANSFER SEPTEMBER/OCTOBER FREIGHT PO 3006001 09999 10241G0 20001011 Payment Amount 102207 BACHMAMS TREES/SHRUBS PV 3087001 09999 1024100 163121 -001 Payment Amount 102208JEFF'S ELECTRIC MATERIALS, LABOR PV 3088 001 09999 1024100 5412 Payment Amount 102222 LIQUOR HUTCH WORKSHOP REFRESHMENTS PV 2973 001 09999 1024/00 20001010 Payment Amount 102225 RUNNINGS SUPPLY AUGUST PURCHASES PV 3078 001 09999 1024/00 950509 -0900 SEPTEMBER PURCHASES PV 3079 001 09999 1024/00 950509 -0900A SEPTEMBER PURCHASES PV 3080 001 09999 1024/00 950511 -0900 Payment Amount 102242 SRF r 'ULTING GROUP CENTURY, DALE CONSTRUCTION PV 3051 001 09999 1024° 1142 -14 Payment Discount Amount Taken 593.78 11.45 11.45 1,031.45 1,031.45 1,040.39 1,040.39 5,938.32 34.42 34.42 189.53 103.43 2,240.04 • 10.2401 16:06:37 Page- 9 102171 KOHN. SUE 102175 ROWEKAA4P ASSOC 102205 LEO'S TRANSFER 102207 BACHMAMS 102208 JEFFS ELECTRIC 102222 LIQUOR HUTCH 102225 RUNNING'S SUPPLY 102242 SRF CI — ULTING GROUP R04570 • CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024/00 ... .. Payee ............. Stub .. Document....... Due Inmce Number Name / Melling Address Message Ty Number Itm Co Date Number SCHOOL ROAD CONSTRUCTION PV 3052 001 09999 1024/00 3737.5 TH 15, DENVER CONSTRUCTION PV 3053 001 099% 1024/00 3380 -11 Payment Amount 102246 HENNEPIN TECHNICAL COLLEGE FIRE SCHOOL PV 2966 001 09099 1024100 28040 Payment Amount 102253 CENTRAL MCGGWAN CUTTING TIP, LENS PV 2957 001 09999 1024/00 152207 ACETYLENE. HEADGEAR, FACESHIEM 2958 001 09999 1024/00 595841 SHOP SUPPLIES PV 2959 001 09999 1024/00 154551 Payment Amount 102255 BERKLEY RISK SERVICES SEPTEMBER CONSULTING SERVICP9 2815 001 09999 1024/00 NCO551 Payment Amount 102262 NATIONAL PEN CORPORATION PENS PV 3112 001 09999 1024100 100574152 Payment Amount 102275 DPC INDUSTRIES INC CHLORINE PV 3190 001 09999 1024/00 7000 - 1373871 CL2 2000 LB CONT PV 3191 001 09999 1024/00 D- 7000 - 014624 Payment Amount 102277 DANKO EMERGENCY EQUIP UNIFORM EQUIPMENT PV 3081 001 09999 1024/00 331941 Payment Amount 102336 MR. iR CLEAN UNES PV 3104 001 09999 102 181 Payment Amount 10,979.27 1,595.39 14,814.70 2,595.00 2,595.00 79.70 64.57 15.00 159.27 800.00 800.00 400.31 45.00 Discount Taken 445.31 758.39 756.39 365.62 1. 16:06:37 Page- 10 102246 HENNEPIN TECHNICAL COLLEGE 102253 CENTRAL MCGOWAN 102255 BERKLEY RISK SERVICES 102262 NATIONAL PEN CORPORATION 102275 OPC INDUSTRIES INC 102277 DANKO EMERGENCY EQUIP 102336 MR. F 'R RD4570 0 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10/24100 ...... .. Payee .............. Stub .. Document.... .. Due Invoke Payment Dlscount Number Name / Mailing Address Message Ty Number Itm Co Date Number Amount Taken Payment Amount 365.62 102343 E 8 T CONTRACTING DOZER WORK -SOUTH GRADE RD PV 2830 001 099% 10/24/00 DRIVE 197.50 Payment Amount 197.50 102346 JOHNSON, LEONARD G. NOVEMBER PAYMENT PV 3082 001 09999 10124/00 20001024 812.76 Payment Amount 812.76 102401 HARTS AUTO SUPPLY FRONT PADS, FRONT ROTOR PV 3174 001 09999 1024/00 12630 387.16 Payment Amount 387.16 102412 HAWKINS WATER TREATMENT GROYBROFLUOS ACID PV 2817 001 09999 10124/00 295309 567.95 Payment Amount 567.95 102419 VALLEY SALES OF HUTCHINSON OIL CHANGE PV 2924 001 09999 10/24/00 CTCS116322 24.95 Payment Amount 24.95 102425 MIDWEST WIRELESS COMM. OCTOBER SERVICE PV 3045001 09998 1024100 700021611 - 1000 387,17 OCTOBER SERVICE PV 3046 001 09999 1024100 701780559- 1010 580.54 Payment Amount 967.71 102436 SARA LEE COFFEE & TEA COFFEE PV 2921 001 09999 1024100 6520113 78.00 COFFEE PV 3084 001 099% 10/24100 6520112 160.50 Payment Amount 238.50 IN24100 16:0637 Page- 11 102343 E 8 T CONTRACTING 102346 JOHNSON, LEONARD G. 102401 HARTS AUTO SUPPLY 102412 HAWKINS WATER TREATMENT GROUP 102419 VALLEY SALES OF HUTCHINSON 102425 MIDWEST WIRELESS COMM. 102436 SARA LEE COFFEE 8 TEA Bank Account 00002252 CASH R04570 CITY OF HUTCHINSON Verslon Create Payment Conbol Groups Bank Account 00002252 CASH Verslon LOG20001 Orlglnator CKRISHNAMO Payment Instrument Check Payment Pay Thmugh Dale 1084/00 ..... .. Payee .............. Stub .. Document....... Due Invoice Number Name / Mailing Aatlress Message Ty Number tun Co Date Number 102446 PINKERTON SERVICES GROUP DRUG TESTING PV 2831 001 09999 10/24/00 136518 - Payment Amount 102449 MINNESOTA CHILD SUPPORT PE 10/14 PV 3205 001 09999 108000 20001020 PAYMENT CENTER Payment Amount 102451 HANSEN DIST OF SLEEPY EYE OCTOBER PURCHASE PV 3015 001 09999 10124/00 4606 OCTOBER PURCHASE PV 3026 001 09999 10/24100 4622 OCTOBER PURCHASE PV 3139 001 09999 1024/00 4649 Payment Amount 102454 TRI- COUNTY BEVERAGE 8 SUPPOOCTOBER PURCHASE PV 3016 001 09999 1024!00 74762 Payment Amount 102456 C 6 L DISTRIBUTING OCTOBER PURCHASE PV 2976 001 08999 1024/00 64921 OCTOBER PURCHASE PV 2977 001 09989 1024/00 65961 OCTOBER PURCHASE PV 2978 001 09999 1024/00 65740 OCTOBER PURCHASE PV 2981 001 09999 1024100 65127 OCTOBER PURCHASE PV 2982 001 09999 10/24/00 15255 OCTOBER PURCHASE PV 3017001 09999 102460 64300 Payment Amount 102470 BUFFALO CREEK ENTERPRISES OCTOBER PURCHASE PV 3018 001 09999 102400 4716 Payment Amwunl Payment D®count A moun t Taken 58.00 58.00 162.89 162.89 1,470.60 480.00 1,742.40 3,693.00 113.05 113.05 1,041.95 8,191.20 581.65 8,896.95 4,568.61 5,842.35 29,122.71 81.84 81.84 • 10124/00 16:06:37 Page- 12 102440 PINKERTON SERVICES GROUP 102449 MINNESOTA CHILD SUPPORT PAYMENT CENTER 102451 HANSFN DIST OF SLEEPY EYE 102454 TRI- COUNTY BEVERAGE 8 SUPPLY 102456 C 8 L DISTRIBUTING 102470 BUFFALO CREEK ENTERPRISE R04570 0 Bank Am unt 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10124/00 ...... .. Payee .............. Stub Number Name / Mailing Address Message 102471 ELECTRIC PUMP GRINDER PUMP, LABOR 102477 MINNESOTA FALL MAINTENANCE 1 DAY PASS EXPO 0 CITY OF HUTCHINSON Create Payment Control Groups .. Document....... Due Ty Number In Co Date PV 3189 001 09999 10/24100 15320 Payment Amount PV 3089 001 09999 1024/00 20001024 Payment Anwunt 102479 PENSKE AUTO CENTER OIL CHANGE, FLUIDS CHANGE PV 3160001 099% 10/24100 48560 OIL CHANCE, FILTER, WIPER PV 3161 001 09999 10/24100 411599 OIL CHANGE, FLUIDS CHANGE PV 3162 001 09999 1024/00 48607 OIL CHANGE, FILTER PV 3163 001 09999 10/24/00 48754 OIL CHANGE PV 3164001 09999 1024/00 48614 OIL CHANGE PV 3165 001 09999 10!24/00 48603 OIL CHANGE W 3166001 09999 10/24/00 48704 OIL CHANGE PV 3167001 09999 1024/00 48683 OIL CHANGE, FLUIDS, FILTERS PV 3168 001 09999 10/24110 48786 Payment Amount 102483 OTTO ASSOCIATES CONSTRUCT OBSERV -ROLL MEAD PV 3048 001 09999 1024/00 201000 CONSTRUCT OBSERV -ROLL MEAD PV 3049 001 099% 10/24/00 20900 CONSTRUCT OBSERV -ROLL MEAD PV 3050 001 09999 10/24100 99004100 Payment Annum 102487 OFFICEMAX VISIONS COMPUTE PV 2853 001 09999 1024/00 84853 PHOTO PAPER, COLOR RICH INK PV 2854 001 09999 102400 26207 INK CARTRIDGES PV 2855001 09999 1024100 85603 VIEWBINDERS PV 2918 001 09999 1024100 17358 MICROCASSETTES, BLK DURABLE PV 3108 001 09999 1 024' '3852 Invoice Number Payment Discount Amount Taken 3,383.05 3,383.05 20.00 20.00 116.09 47.55 113.74 36.64 17.74 15.63 15.63 15.57 290.54 669.13 210.00 1,530.50 102.00 1,842.50 63.89 42.89 175.67 2544 67.03 0 10/24/00 16:06:37 Page- 13 102471 ELECTRIC PUMP 102477 MINNESOTA FALL MAINTENANCE EXPO 102479 PENSKE AUTO CENTER 102483 OTTO ASSOCIATES 102487 OFFICEMAX R04570 0 0 CITY OF HUTCHINSON 10/24/00 16:06:37 Create Payment Control Gaups Page- 14 Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Dale 10114(00 ...... Payee ......... .. Sbib Document....... Due InVDca Number Name / Mailing Address Message Ty Number Itm Co Da ta Number Payment Amount 102488 DAY DISTRIBUTING OCTOBER PURCHASE PV 2975 D01 09999 10/24/00 111863 Payment Amount 102489 MCLEOD COUNTY COURT BAIL- TIECHERT, HOSECK, PETERS®V 3064 001 09999 10/24100 20001010 ADMINISTRATOR Payment Amount 102499 LINDQUIST & VENNUM P.LL.P. SOLID WASTE CONTRACT SERVICBW 3054 001 09999 10/24/00 207550 -0846 Payment Amount 102518 HILLYARD FLOOR CARE/HUTCHINSWTS, LABOR PV 2822 001 09999 10/24/00 HUV1444652 SCREEN DISC PV 2823 001 09999 1024/00 HU434833 TOWELS, TISSUE, CUPS PV 2858 001 09999 1024/00 HU439219 TOWELS, MOP PV 2897 001 099% 1 M4MO HU450239 CLEANING PV 2985 001 09999 1024/00 HU439415 PAPER HOT CUPS PV 3176 001 09999 10/24/00 HU443583 Paymenl Amount 102525 GOPHER STATE ONE -CALL INC SEPTEMBER CALLS PV 3186 001 09999 1024100 90388 Payment Amount 102526 G & K SERVICES SEPTEMBER SERVICE PV 3128 001 09999 10/24/00 17986-0900 SEPTEMBER SERVICE PV 3129001 09999 10124 '.200 -0900 Payment Amount 374,92 2,090.05 2,090.05 830.00 830.00 2,129.40 2,129.40 218.55 83.26 4T7.42 38.69 3.67 116.58 938.17 041IMN 201.60 242.52 129.62 Discount Taken 102488 DAY DISTRIBUTING 102488 MCLEOD COUNTY COURT ADMINISTRATOR 102499 LINDQUIST & VENNUM P.L.L.P. 102518 HILLYARD FLOOR CARE/HUTCHINSON 102525 GOPHER STATE ONE-CALL INC 102526 G & K SERVICES R04570 0 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version 10320001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10/24/00 .. . .. Payee .............. Stub .. Document...... Due Invoice Payment Discount Number Name / Mailing Address Message Ty Number Ilm Co Dale Number Amount Taken SEPTEMBER SERVICE PV 3130 001 09999 1024100 92113 -0900 321.24 SEPTEMBER SERVICE PV 3131 001 09999 1024/00 22200 - 0900 36.84 PeymentAmounl 730.22 102530 HUTCHINSON CO-OP SEPTEMBER PURCHASES PV 3092 001 09999 10124/00 201435 -0900 523.83 Payment Amount 523.83 102531 HENRYS FOODS INC OCTOBER PURCHASE PV 3115 001 09999 1024100 1112218 330.79 OCTOBER PURCHASE PV 3116 001 09909 1024/00 C1117152 8.76 OCTOBER PURCHASE PV 3117 001 09999 1024/00 1116049 350.40 Payment Amount 689.95 102533 HUTCHINSON CONVENTION 8 AUGUST LODGING TAX PV 2829 D01 09999 1024/00 20000800 6,198.73 VISITORS BUREAU Payment Amount 6,198.73 102534 HUTCH AUTO BODY REPAIR 1999 FORD-POLC-0O5 -SOD PV 2964 001 09999 102000 1240 800.75 Payment Amount 800.75 102540 HUTCHINSON PLUMBING 8 HEATINSADING POOL HEATER PV 2834 001 08999 1024/00 17545 1,862.00 CO PLBG MATERIALS PV 2916 001 09999 1024/00 13285 617.38 MATERIALS, LA13OR-GAS RLF VLV PV 2928 001 09999 10/24/00 17879 249.65 PARTS, LABOR- COOLER COMPRESBV 3033 001 09999 1024/00 14601 382.20 PARTS, LABOR PV 3034 001 09999 1024100 17604 293.54 Payment Amount 3,404.77 0 1024100 16:06:37 Page- 15 102530 HUTCHINSON COOP 102531 HENRYS FOODS INC 102533 HUTCHINSON CONVENTION 8 VISITORS BUREAU 102534 HUTCH AUTO BODY 102540 HUTCHINSON PLUMBING 6 HEATING CO R04570 Is CITY OF HUTCHINSON Create Payment Control Groups Bank Axounl 00002252 CASH Amoun Taken _ Verson LOG20001 —� — 1,087.14 Originator CKRISHNAMO -- 22.94 Payment Instrument Check Payment 330.45 Pay Through Date 1012400 23.09 ...... .. Payee ........... .. Stub .. Document....... Due Invoice Number Name /Mailing Address Message Ty Number In Co Dale Number 102541 HUTCHINSON TELEPHONE CO OCTOBER ACCESS CHARGES PV 3014 001 09999 1024/00 612SPL1409 -00275 8.42 1.65 Payment Amount 102542 HUTCHINSON UTILITIES SEPTEMBER UTILITIES PV 2810 001 09999 1024/00 2DD01004A 6,695.00 3,430.00 Payment Amount 102543 HUTCHINSON WHOLESALE SEPTEMBER PURCHASES PV 3127 001 09999 1024/00 1550 -0900A Payment Amount 102544 HUTCH CAFE FOOD CHARGES PV 2841 001 09999 1024100 105705 Payment Amount 102551 INSURANCE PLANNERS SURPLUS LINES TAX ON 99 AUDIT PV 3212 001 09999 1024/00 2823 Payment Amount 102554 JERABEK MACHINE SERV ANGLE IRON PV 2870 001 09999 1024100 3768 ANGLE IRON PV 2900 001 09999 1024100 3801 FLAT IRONS, BOLTS 8 NUTS PV 2946 001 09999 10/24/00 3667 FLAT IRON PV 2947 001 09999 1024/00 3678 U RECT TUBE PV 3143 001 09999 1024/00 3834 10'TUBE PV 3144001 09999 1024/00 3835 Payment Amount 102555 JUUL CONTRACTING CO MATERIALS, LABOR- REPAIR TILE PV 2912 001 09999 1024/00 00 -4951' Payment Amount MATERIALS, LABOR- INSTALL MNH(3EV 2913 001 09999 1012 )0-095-2' 1 16:06:37 Page- 16 Payment Discount Amoun Taken _ 1,087.14 102541 HUTCHINSON TELEPHONE CO —� — 1,087.14 22.94 102542 HUTCHINSON UTILITIES -- 22.94 330.45 102543 HUTCHINSON WHOLESALE 330.45 23.09 102544 HUTCH CAFE 23.09 14.67 102551 INSURANCE PLANNERS 14.67 32.07 102554 JERABEK MACHINE SERV 20.87 39.17 2.94 8.42 1.65 105,12 6,695.00 102555 JUUL CONTRACTING CO 6,695.00 3,430.00 102555 JUUI TRACTING CO R04570 CITY OF HUTCHINSON 10/24100 16:06:37 Create Payment Control Groups Page- 17 Bank Account 00002252 CASH Verson LOG20001 Orglnator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10/24/00 ...... .. Payee .......... ... Stub .. Document....... Due Involce Payment DLscount Number Name / Melling Address Me ssage Ty Number Ilm Co Dale Number Amount Taken Payment Anent 3,430.00 102560 LEAGUE OF MN CITIES- INSURANCIDEDUCTIBLE BILLING PV 2972 001 09999 10/24/00 11032533 954.72 102560 LEAGUE OF MN TRUST CITIES - INSURANCE TRUST Payment Amount 954.72 102561 L 8 P SUPPLY CO WHEEL ASSY PV 2894 001 O9999 1024/00 133755 120.32 102561 L 8 P SUPPLY CO COLLAR KIT PV 3154 001 099% 1024100 133005 164.32 Payment Amount 284.64 102564 LOGIS AUGUST SERVICES PV 3061 001 09999 1024/00 AR0800 16,582.09 102564 LOGIS Payment Amount 16,582.09 102570 MINNESOTA SPORTS FEDERATIOMOURNAMENT HOST PV 29 71001 09999 1024/00 20001006 162.00 102570 MINNESOTA SPORTS FEDERATION Payment Amount 162.00 102571 MACQUEEN EQUIP INC SENDER PV 2925 001 09999 1024/00 2006069 80.94 102571 MACQUEEN EQUIP INC Payment Amount 80.94 102575 MINI RIFF UNIT RENTAL - ARMORY PV 2859 001 09999 1024/00 5815 87.86 102575 MINI RIFF Payment Amount 87.86 102581 MINNESOTA U C FUND QTR 3 2000 UNEMPLOYMENT COMWV 3057 001 09999 1024/00 20001011 2.628.56 102581 MINNESOTA U C FUND Payment Amount 2,628.56 R04570 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Amount Take _ Version LOG20001 76.08 Originator CKRISHNAMO 1,385.00 Payment Instrument Check Payment INC Pay Through Dale 10/1400 20.47 ...... .. Payee .. ........ .. Stub .. Document. ...... Due Invoice Number Name / Mailing Address Message Ty Number Itm Co Date Number 102582 MINNESOTA ELEVATOR INC AUGUST ELEVATOR SERVICE PV 3148 001 09999 10)24/00 20037 937.93 376.80 Payment Amount 102586 MINNESOTA REC & PARK ASSC REGISTRATIONS -HUTCH PARK & REG 3149 001 09999 10124/00 20001023 12.72 25.34 Payment Amount 102591 NORTHERN STATES SUPPLY INC 30' TAPE & KNOFE ON -PACK PV 2832 001 09999 10124/00 229538 CABLE TIES, SLEEVE ANCHOR PV 2833 001 09999 102000 230202 SHOP SUPPLIES PV 2926 001 09999 10/24/00 229542 SHOP SUPPLIES PV 2927 001 09999 1004/00 230197 Payment Amount 102592 OLSONS LOCKSMITH LOCKS, INSTALLATION PV 3067 001 09999 10/24/00 15719 Payment Amount 102594 PLOWMANS SHOP PARTS PV 2887 001 09999 102000 45917 PARTS, LABOR - PAINTING PV 2922 001 09998 10/24/00 515646 Payment Amount 102596 PETERSON BUS SERVICE SEPTEMBER MOTOR COACH PV 2621 001 09999 10/24/00 2203 Payment Amount 102598 QUADE ELECTRIC SWITCHES, PLATES PV 2840001 09999 10/24/00 88146 PHOTOCELL, FUSETRONS PV 2902 001 09999 10/24/00 88216 ELEC SUPPLIES - PV 2903 001 09999 10124/00 88211 FUSES PV 3073 001 09999 1 0124W 88350 1 16:06:37 Page- 18 Payment Discount Amount Take _ 76.08 102582 MINNESOTA ELEVATOR INC 76.08 1,385.00 102586 MINNESOTA REC & PARK ASSC 1,385.00 15.92 102591 NORTHERN STATES SUPPLY INC 48.44 20.47 93.33 — 178.16 346,03 102592OLSON'S LOCKSMITH 348.03 2.98 102594 PLOWMANS 934.95 937.93 376.80 102596 PETERSON BUS SERVICE 376.80 — - — 1.89 102598 QUADE ELECTRIC 12.72 25.34 5.85 R04570 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Data 1024/00 ...... .. Payee .............. Stub .. Document....... Due Im,oice Number Name / Mailing Address Message Ty Number Ran Co Date Number FLOURESCENT BULBS PV 3074001 09999 10124/00 88179 RELOCATING HUTCH SIGN PV 3151 001 09999 10/24/00 5984 Payment Amount 102606 SCHMELING OIL CO BREAKAWAY REPAIR KIT PV 2869 001 09999 10124/00 229538 Payment Amount 102607 SCHRAMM IMPLEMENT PARTS PV 3180 001 09999 10/24/00 26120 Payment Amount 102809 SHOPKO VIEW BINDER PV 3012 001 09999 10/24/00 50591 Payment Amount 102610 SIMONSON LUMBER GO SLEEVE ANCHORS PV 2872 001 09999 10/24/00 678936 SLEEVE ANCHORS PV 2873001 09999 1024100 878945 SLEEVE ANCHORS, LUMBER, NAILS'V 2874 001 09999 1024100 678889 LUMBER, TAPCON BIT PV 2875 001 09999 10124/00 679522 LUMBER. DRYWALL SCREWS PV 2876 001 09999 1024/00 679491 FREIGHT 8 SHIPPING CHARGES PV 2886 D01 00999 102460 676004 Payment Amount 102611 SORENSEN'S SALES 6 RENTALS EQUIPMENT RENTAL PV 3100 001 09999 1024100 78 Payment Amount 102612 STANDARD PRINTING SEPTEMBER NEWSLETTER PV 2837 001 09099 1024100 61757 OCTOBER NEWSLETTER PV 2838 001 09999 1024W 61893 Payment Amount 44.70 1,480.00 1,570.50 32.63 32.63 41.66 41.86 15.92 15.82 4.17 4.17 29.65 37.92 114.59 12.00 202.50 42.60 42.60 154.42 154.42 0 1024100 16:06:37 Page- 19 Discount Taken 102606 SCHMELING OIL CO 102607 SCHRAMM IMPLEMENT 102609 SHOPKO 102610 SIMONSON LUMBER CO 102611 SORENSEN'S SALES d RENTALS 102612 STANDARD PRINTING Bank Accounl 00002252 CASH R04570 CITY OF HUTCHINSON 10124100 16:06:37 Creels Payment Control Groups Page- 20 Bank Accounl 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024/00 ...... .. Payee .............. Stub .. Document....... Due Invoice Number Name /Mauing Address Message Ty Number Urn Co Date N umber NOTARY STAMP & WOOD MOUNT W 2950 001 09999 1024/00 45615 INSPECTION CARDS PV 2951 001 09999 1024/00 45613 SUPPLIES PV 3009 001 09999 1024/00 45773 TAGBOARD, PAPER PV 3068 001 09999 1024100 45793 OFFICE SUPPLIES PV 3069 001 09999 1024100 45809 Payment Amount 102613 STATE OF MINNESOTA PLAN REVIEW FEES PV 2968 001 09999 1024/00 43300001646 PLAN REVIEW FEES PV 2969 001 09933 1024100 43300001562 Payment Amount 102615 PUBLIC EMPLOYEES PE 10114 PV 3208 001 09999 1024/00 20001020 PE 10114 PV 3209 001 09999 1024/00 20001020A Payment Amount 102617 STREICHERS DRUG TEST TOWELETTE PV 2861001 09999 1024100 173881.2 GRIP SCREWS. WASHERS PV 2867 001 09999 1024/00 1726472 Payment Amount 102618 TOWN & COUNTRY TIRE TIRE MAINTENANCE PV 2888 001 09999 1024100 914013 Payment Amount 102619 TWO WAY COMM INC SWAP RX BOARDS PV 2953 001 09999 1024/00 50936 BATTERY PV 2954 001 09999 1024/00 51109 BATTERY DOOR, SERVICE TIME PV 2955 001 09999 11124/00 50847 BACK COVER PV 2956 001 09999 10/24/00 50822 BATTERY PV 3008 001 09999 1024/00 51224 NOKIA 282, LEATHER CASE PV 3037 001 09999 1024P• 50958 Payment DLsoount Amount Taken 54.04 7.45 154.53 11.87 83.07 619.80 38.02 5,625,51 5,663.53 7,788.79 9,470.48 102613 STATE OF MINNESOTA 102615 PUBLIC EMPLOYEES 17,25927 30.83 24.39 55.22 102617 STRETCHERS 48.00 48,00 20.00 106.45 33.58 22.92 26.63 15.98 102618 TOWN & COUNTRY TIRE 102619 TWO WAY COMM INC is 10/24/00 16:06:37 Page- 21 102620 TRI CO WATER 102624 UNITED BUILDING CENTERS 102632 XEROX CORP 102633 HUTCHINSON, CITY OF 102635 HUTCHINSON, CITY OF R04570 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Orlglnator CKRISHNAMO Payment Instrument Check Payment Pay Through Dale 10,24/00 . ... .. Payee ........... .. Stub .. Document....... Due Inwke Payment Discount Number Name I Malgng Address Message Ty Number Itm Go Date Number Amount Taken SEPTEMBER PAGER SERVICE PV 3103 001 09999 1024/00 4412 386.60 CONNECTOR, SERVICE PV 3145 001 09999 10/24/00 51014 820 Payment Amount 620.36 102620 TRI CO WATER BOTTLE WATER PV 2949 001 099% 1024/00 67272 -1X900 50.33 BOTTLE WATER PV 3005 001 09999 10124/00 11718-0900 33.55 Payment Amount 83,88 102624 UNITED BUILDING CENTERS LINER PANEL WHITE PV 2878 001 09999 10/24100 100440 964.06 LINER PANELS, TRIM, SCREWS PV 2879 001 09999 1024/00 100439 713.44 EXPANSION JOINT PV 2880 001 09999 1024/00 100367 164.65 STAKES PV 2881 001 09999 1024/00 100590 25.09 ENTRY LOCK, SHELF PV 2882 001 09999 10/24100 100100 202.56 CREDIT PD 2883 001 09999 10/24/00 14451 28.74 - LUMBER PV 3146 001 09999 1024/00 101373 761.32 CLEAR POLY, STAPLES PV 3147 001 09999 1024/00 101367 129.54 Payment Amount 2,951.92 102632 XEROX CORP LEASE AGREEMENT PAYMENT PV 2864 001 09999 10/24100 588443989 283.75 COPIER LEASE PV 3086 001 09999 1024/00 77779213 625.00 Payment Amount 908.75 102633 HUTCHINSON, CITY OF PE 10114 PV 3206 001 09998 10/24100 20001020 1,848.99 Payment Amount 1,848.99 102635 HUTCHINSON, CITY OF PE 10/14 PV 3207 001 09999 1024/00 20001020 123.89 Payment Amount 123.69 is 10/24/00 16:06:37 Page- 21 102620 TRI CO WATER 102624 UNITED BUILDING CENTERS 102632 XEROX CORP 102633 HUTCHINSON, CITY OF 102635 HUTCHINSON, CITY OF R04570 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10/24/00 ...... .. Payee .............. Stub .. Document....... Due Inwlue Number Name / Meiling Address Message Ty Number Ibn Co Dale Number 102647 DYNA SYSTEMS ARBOR PV 3170 001 09999 10/24/00 10220965 Payment Amount 102652 JERRYS TRANSMISSION PARTS, LABOR PV 2923 001 09999 10/24/00 14679 Payment Amount 102655 MODERN MAZDA VEHICLE TOW PV 2877 001 09999 1024tDO 4397 VEHICLE TOW PV 2901 001 09999 1024/00 4853 Payment Amount 102658 PERA- D,C.P, PE 10114 PV 3210 001 09999 1024/00 20001020 PE 10114 PV 3211 001 09999 1024/00 20001020A Payment Amount 102659TEK MECHANICAL PLUMBING MATERIALS PV 3085 001 09999 102000 1477 Payment Amount 102672 FORCIER, GARY REIMB- MEALS, MILEAGE, LODGINGPV 3216 001 09999 1024/00 20001023 Payment Amount 102889 ERLANDSON, DAVID REIMB -RIFLE CASE, INST NOTEBK PV 3058 001 09999 10/24/00 20001024 Payment Amount 102690 GREGOR, JOHN FRAMING GARAGE DOOR -TRAIN C7R/ 3041 001 09999 1024/00 20000928 Payment Amount Payment Dlsmunt Amount Taken 7.16 7.16 420.05 420.05 15.98 15.98 31.96 26.01 26.01 52.02 5.11 5.11 442.48 442.48 91,65 91.65 100,00 100.00 9 10/24100 16:06:37 Page- 22 102647 DYNA SYSTEMS 102652 JERRYS TRANSMISSION 102655 MODERN MAZDA 102658 PERA- D.C.P. 102659 TEK MECHANICAL 102672 FORCIER, GARY 102689 ERLANDSON, DAVID 102690 GREGOR, JOHN R04570 CITY OF HUTCHINSON 1LV24100 16:06:37 Create Payment Control Groups Page• 23 Bank Ac unt 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024/00 ..... .. Payee .............. Stub .. Document. ...... Due Involce Payment Dlscount Number Name / Mailing Address Message Ty Number Itm Co Dale Number Amo _ Taken 102691 JONES, CHARLES REIMS -ERGO PUNCH W 3101 001 09999 10/24/00 20001020 20.45 102691 JONES, CHARLES Payment Amount 20.45 102696 HUTCHINSON, CITY OF LOTTERY FEES PV 3183 001 09999 10/24/00 20001024 224.62 102098 HUTCHINSON, CITY OF Payment Amount 224.62 102700 G.A.THOMPSON CO. MN TRAFFIC 8 SUMMONS PV 2868 001 09999 1024100 59096 492.90 102700 GATHOMPSON CO. Payment Amount _ 492,90 102701 HENRY & ASSOCIATES THREADED CURB BOX LID PV 2820 001 099% 1084100 5246 128.50 102701 HENRY & ASSOCIATES Payment Amount 128.50 102710 DOMINO'S PIZZA PIZZAS, POP PV 3035 001 099% 1084/00 375126 62.90 102710 DOMINO'S PIZZA Payment Amount 62.90 102726 ECOLAB PEST ELIM SEPTEMBER SERVICE PV 2860 D01 09999 10/24/00 102726 40.79 102726 ECOLA13 PEST ELIM OCTOBER SERVICE PV 3105001 09999 1084100 7108866 40.79 Payment Amount 81.58 102747 ST. JOSEPH'S EQUIPMENT INC PARTS PV 3153 001 099% 1084100 5192686 264.30 102747 ST. JOSEPH$ EQUIPMENT INC Payment Amount 264,30 102771 HUTCHINSON, CITY OF PAYROLL 1020100 PV 3184 001 09999 10/24/DO 20001024 8,938.47 102771 HUTCHINSON, CITY OF PAYROLL 10/6100 PV 3185 001 09999 1084 1 0001023 9.734.01 R04570 CITY OF HUTCHINSON 10/24100 16:06:37 Create Payment Control Groups Page- 24 Bank Account 00602252 CASH Verson LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024100 ...... .. Payee .............. Stub .. Document....... Due Invoice Payment Discount Number Name / Mailing Address Message Ty Number Ihn Co Date Numb Amount Ta ken Payment Amount 18,672.48 102772 TERMINAL SUPPLY CO SHOP SUPPLIES PV 2914 001 09999 1024100 64653 176.17 102772 TERMINAL SUPPLY CO SHOP SUPPLIES PV 3159 001 09999 10/24/00 66079 35.38 Payment Amount 211.55 102779 INDEPENDENT SCHOOL DIST. #4233EPTEMBER COMMUNITY ED PV 2974 001 099% 11424/00 20000930 6,766.00 102779 INDEPENDENT SCHOOL DIST. #423 Payment Amount 6,766.00 102787 MCLEOD COUNTY TREASURER 2000 ASSESSMENT FEE PV 3077 001 09999 1024/00 3639 33,062.00 102787 MCLEOD COUNTY TREASUREF Payment Amount 33,062.00 102791 NSPE MEMBERSHIP RENEWAW RODEBUIG 3056D01 09999 1024100 20001024 232.00 102791 NSPE Payment Amount 232.00 102608 FOGG JR., MICHAEL TACKLE FOOTBALL OFFICIAL PV 3072 001 09999 1024/00 20001013 30.00 102806 FOGG JR., MICHAEL Payment Amount 30.00 102895 WILSONS NURSERY INC TREES PV 3150 001 09999 1024100 3428 571.91 102895 WILSONS NURSERY INC Payment Amount 571,91 102943 BAUERLY BROS INC. CREDIT- DOUBLE PAYMENT PD 2811 001 09999 1024/00 1906248 114.85 102943 BAUERLY BROS INC. 4000 EXTERIOR SLAB, ECONO -NETPV 2812 001 099% 10/24/00 1907945 125.88 4000 EXTERIOR SLAB PV 2813 001 09999 1024100 1907900 263.91 S VINYL COUPLER PV 2814 001 09999 1024100 1907868 2.03 R04570 CITY OF HUTCHINSON 10124/00 16:06:37 Create Payment Cmtrol Groups Page - 25 Bank Account 00002252 CASH Verson LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10124/00 ...... .. Payee .............. Stub .. Document....... Due Invoice Payment Discount Number Name / Mailing Address Message Ty Number Inn Co Date Number Amount Taken Payment Amount 276.97 102967 MID CON SYSTEMS INC SHOP SUPPLIES PV 2915 001 09999 10/24/00 35703 257.35 102907 MID CON SYSTEMS INC Payment Amount 257.35 102987 MAKI, CONNIE REIMB-ROLLS FOR PRCE STAFF MW 2809 001 09999 10.24100 20001006 3.99 102987 MAKI, CONNIE Payment Amount 3.99 103059 HEMMAH, LLOYD REFEREE ADULT TOUCH FOOTBALPV 3066 001 09999 10/24100 20001018 240.00 103059 HEMMAH, LLOYD Payment Amount 24100 103068 WRIGHT, LEE FOOTBALL OFFICIAL PV 3070 001 09999 1024/00 20001013 150.00 103068 WRIGHT, LEE Payment Amount 150.00 103070 MINNESOTA COUNTY ATTORNEYSREG -S PASCHKE, L MUELLER PV 2856 001 09999 1024/00 179 30.00 103070 MINNESOTA COUNTY ASSC ATTORNEYS ASSC Payment Amount 30.00 103094 SUBWAY SUB SANDWICHES PV 3036 001 09999 1024/00 20000926 14.67 103094 SUBWAY Payment Amount 14.67 103099 HUTCHINSON, CITY OF SEPTEMBER WATER/SEWER PV 2907 001 09999 1024/00 20000930A 475.29 103099 HUTCHINSON, CITY OF SEPTEMBER WATER/SEWER FV 2908 001 09999 1024/00 200009308 10.79 Payment Amount 486.08 103123 CROP 'ON WELDING SYSTEMS 5KDP SUPPLIES PV 2889 001 09999 1024 5561191 113.91 103123 CRON' — 'ON WELDING SYSTE Bank Account 00002252 CASH R04570 CITY OF HUTCHINSON 1024/00 16 :06:37 Verslon Create Payment Control Groups Page- 25 Bank Account 00002252 CASH Verslon LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024100 . .. Payee ...... ....... Stub .. Document..... , . Due Invoice Payment Discount Number Name / Mailing Address Message Ty Number IIm Co Date Number Amount Taken INC Payment Amount 113,91 103133 CSWEA REG- MARION GRAHAM PV 3055001 09999 1024100 20001018 85.00 103133 CSWEA Payment Anwunt 85.00 103240 HEMMAH, KATHY REIMB -SOAP CLASS SUPPLIES PV 3047 D01 09999 1024/00 20001011 22.46 103240 HEMMAH. KATHY Payment Amount 22.46 103246 HUTCHINSON, CITY OF SEPT & OCT HATS CONTRIB PV 2816 D01 09999 10/24/00 20183 10,706.00 103246 HUTCHINSON, CITY OF Payment Amount 10,706.00 103314 PLUMBING & HEATING BY CRAIG ARMAFLEX PV 3099 001 099% 1024/00 152 6.54 103314 PLUMBING & HEATING BY CRAIG _ Payment Amount 6.54 103340 GEE ELECTRICAL INC LABOR, MATERIALS PV 2857 001 00099 1024100 2146 172.40 103340 GEB ELECTRICAL INC WIRE WATER HEATER PV 3106 001 09999 1024100 2158 122.50 Payment Amount 294.90 103363 ST. CLOUD RESTAURANT SUPPLY LOTION SOAP PV 3027 001 09999 10241DO 20001011 9.00 103363 ST. CLOUD RESTAURANT SUPPLY Payment Amount 9.00 103594 DETTMAN, KAREN WATER AEROBICS INSTRUCTOR PV 3011 D01 09999 1024100 20DO1005 93.50 103594 DETTMAN, KAREN Payment Amount 93.50 Bank A=unt 00002252 CASH R04570 CITY OF HUTCHINSON Create Payment Control Groups Bank A=unt 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Chacic Payment Pay Through Date 10!24/00 .. ... .. Payee .............. Stub .. Document....... Due Invoice Payment Discount Number Name /Mailing Address Message Ty Number Itm Go Date Number Amo Taken 103665 TRANSICARD FUELCHARGES PV 3023001 09999 10/24/00 5920120669 27.44 Paymenl Amount 27.44 103864 PASS, TROY REIMB- TRAINING TUITION PV 3043 001 09999 1024/00 20001003 50.00 Payment Amount - 50.00 103872 HARRIS COMPANIES LABOR, TRK CHARGE W 31071101 09999 1024100 74285 172.00 Payment Amount 172.00 103906 KIESER, SUE ADMIN WORK B CPR CLASSES PV 3083 001 09999 1024100 10052000 265.00 CPR INSTRUCTOR PV 3194 001 09999 102000 10232000 230.00 Payment Amount 495,00 103968 FITTERER, TERRI REFUND -DOLL CLASS CANCELLED PV 3075 001 09999 1024/00 49327 20.00 Payment Amount 2000 , 104015 BURNS SECURITY SERVICE CALL, REPROGRAM COD&V 2952 001 09998 1024/00 20000707 65.00 Payment Amount 65.00 104053 BRAND, JUDY T -BALL 8 SOFTBALL PV 2970 001 09999 102400 20000810 150.00 Payment Amount 150.00 104137 FASTENAL COMPANY LATCH KIT, ALLOY EYE PV 3155 001 09999 1024/00 MNNUT7378 49.92 Payment Amount 49.92 0 10124/00 16:06:37 Page - 27 103665 TRANSICARD 103864 PASS, TROY 103872 HARRIS COMPANIES 103906 KIESER, SUE 103958 FITTERER, TERRI 104015 BURNS SECURITY 104053 BRAND, JUDY 104137 FASTENAL COMPANY 0 1024100 16:06:37 Page- 28 Discount Taken 104160 TACTICAL ALLIANCE 104163 CHIEF SUPPLY CORP 104269 NORTHERN POWER PRODUCT 104334 MCKITTRICK, KEITH 104375 VFW MID - WINTER CONFERENC PGM 104415 EARTH TECH 104448 GULF STATE DISTRIBUTORS 104657 DONALD SITZ CUSTOM R04570 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024100 ...... .. Payee .............. Stub .. Document....... Due Invoke Payment Number Name /Malting Address Message Ty Number Itm Co Dale Number Amount 104160 TACTICAL ALLIANCE BUILDING SEARCH TECHS TUITIONPV 2862 001 099% 1024/00 1183 625.00 Payment Amount 625.00 104163 CHIEF SUPPLY CORP PERSONALIZED UNIFORM ITEMS PV 2848 001 09999 10124/00 10040917 441.81 PERSONALIZED UNIFORM ITEMS PV 2849 001 09999 1024/00 10040919 64.96 PERSONALIZED UNIFORM ITEMS PV 2850 001 09999 10/24/00 10040918 31.96 Payment Amount 538.73 104269 NORTHERN POWER PRODUCTS CARB REPAIR KIT PV 2909 001 09999 1024100 110142 53.03 Payment Amount 53.03 104334 MCKITTRICK, KEITH - REFEREE YOUTH FOOTBALL PV 3071 001 09999 1024100 20001013 105.00 Payment Amount 105.00 104375 VFW MID - WINTER CONFERENCE PGSNFERENCE PROGRAM AD PV 3025 001 09999 1024100 20001012 99.00 Payment Amount 99.00 104415 EARTH TECH COMPOSTING FACILITY PV 3091 001 09999 1024/00 140251 7,776.63 Payment Amount 7,776.63 104448 GULF STATE DISTRBUTORS HOLSTERS, BELTS, CUFF CASE PV 2852 001 09999 1024100 3306MS 559.20 Payment Amount 559.20 104657 DONALD SITZ CUSTOM FARMING FARMING EXPENSES THRU 10/5/DOPV 2920 001 09999 1024/00 20001003 687.03 0 1024100 16:06:37 Page- 28 Discount Taken 104160 TACTICAL ALLIANCE 104163 CHIEF SUPPLY CORP 104269 NORTHERN POWER PRODUCT 104334 MCKITTRICK, KEITH 104375 VFW MID - WINTER CONFERENC PGM 104415 EARTH TECH 104448 GULF STATE DISTRIBUTORS 104657 DONALD SITZ CUSTOM • R04570 • CITY OF HUTCHIN• 100 16:08.37 Create Payment Control Groups Page - 29 Bank Account 00002252 CASH Verson LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10124/00 ..... .. Payee .............. stub .. Document. ...... Due Invoice Payment Discount Number N ame/ M Add ress Message Ty Number Ion Cc Date Number Amount Taken _ SERVICES FARMING SERVICES Payment Amount 687.03 104722 BERGLUND, JAY YOUTH FOOTBALL GAMES PV 3065 001 09999 102000 20001016 165.00 104722 BERGLUND. JAY Payment Amount 165.00 104814 GREEN LIGHTS RECYCLING RECYCLING BULBS PV 3090 001 09999 1024100 00 -7305A 108,00 104814 GREEN LIGHTS RECYCLING Payment Amount 108.00 104847 SAFETY TECHNOLOGY GROUP CONNECTOR, BRAKE LIGHT PV 2960 001 09999 10124100 5537 342.78 104847 SAFETY TECHNOLOGY GROW Payment Amount 342.78 104852 MCC INC BIOSOLIDS DRYING FACILITY PV 3192 001 09999 1024/00 IN -00132 159,420.60 104852 MCC INC Payment Amount 159,420.60 104955 CENTURY 7 THEATRE 50 DISCOUNT $4 TICKETS PV 2905 001 09999 10/24100 20001011 200.00 104955 CENTURY 7 THEATRE Payment Amount 200.00 104980 MORTEK AUDIO VISUALS CONSULTING -CC CHAMBERS PV 2917 001 09999 10124100 124 460.51 104980 MORTEK AUDIO VISUALS Payment Amount 460.51 105064 SPRUCE RIDGE LANDFILL SEPTEMBER LANDFILL CHARGES PV 3022 001 09999 1024100 1706- 0000184 10,549.71 105064 SPRUCE RIDGE LANDFILL Payment Amount 10,549.71 105080 HIRSHFIELD'S DECORATING PAINT PV 3076 001 09999 10/24/00 12214135 93.68 105080 HIRSHRELD'S DECORATING CEN- CENT Bank Account 00002252 CASH R04570 CITY OF HUTCHINSON Version Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Odginata CKRISHNAMO Payment Instrument Chack Payment Pay Through Date 10/24/00 ...... .. Payee ...... ...... Stub Docurne tL ..... Due Invdm Number Na me / Mailing Address Message Ty Number Itm Co Date Number Payment Amount 105090 SIBLEV COUNTY COURT BAIL MONEY - THERESA KUEHN PV 3083 001 09999 10/24/00 20001018 ADMINISTRATOR Payment Amount 1051091CMA PRODUCT FULFILLMENT MUNICIPAL YEARBOOK PV 3178001 09999 10/24100 3147544 CENTER Payment Amount 105122 WASTE MANAGEMENT OCTOBER SERVICE PV 2898 001 09999 10/24/00 1593- 0057468 Payment Amount 105140 MARSHALL CONCRETE PRODUC79REMIX MORTAR MIX PV 2910 001 09999 10124/00 73089 MORTAR MIX CORNER 8 REG MOEPV 2911 001 09999 10/24/00 73990 Payment Amount 105157 MINNESOTA SHREDDING SHREDDING SERVICE PV 2551 001 09999 10/24/00 2526336 SHREDDING SERVICE PV 3102 001 09999 10124/00 2526337 Payment Amount 105161 HUTCHINSON UTILITIES SEPTEMBER UTILITY PV 3024 001 09999 10124 /00 20001016 Payment Amount 105163 CREIGHTON, BRADLEY & GUZZETWOFESS SERVICES THRU 9/11100 PV 2963 001 09999 10124100 10777 L.L.0 Payment Discount Anwunl Taken 93.68 — 349.00 349.00 109,45 109.45 31.59 31.59 44.20 76.04 120.24 54.95 54,95 109.90 12,808,07 12,808.07 1,425.00 0 10/24/00 16:06:37 Page - 30 105090 SIBLEV COUNTY COURT ADMINISTRATOR 1051091CMA PRODUCT FULFILLMENT CENTER 105122 WASTE MANAGEMENT 105140 MARSHALL CONCRETE PRODUCTS 105157 MINNESOTA SHREDDING 105161 HUTCHINSON UTILITIES 105163 CREIGHTON, BRADLEY& GUZZ' L.L.C. R04570 0 CITY OF HUTCHINSON Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 10/24/00 ...... .. Payee ....... ...... Stub Document. .... Due Involce Number Name / Mailing Address Message Ty Number lam Cc Dale Number Payment Amount 105182 DOBRATZ, CHRIS REIMB- EVIDENCE/FORFEIT BOARDPV 3044 001 09999 1024/00 20001010 Payment An nl 105183 RICE LAKE CONTRACTING BIOSOLIDS -EST Its -THRU 9/30/00 PV 3218 001 09999 10124100 20000930 Payment Amount 105193 RUNKE, JOLEEN REIMB -MEALS PV 2835 001 09989 10/24/00 20001006 REIMB -REG FEE PAYROLL CONF PV 2836 001 09999 1024100 20001013 Payment Amount 105259 ALLVIEW INC ROCKS 8 CEMENT PV 3095 001 09999 1024/00 4682 Payment Amount 105274 MINN BLUE DIGITAL IMAGING MNB -XEROX PV 2967 001 09999 10/24/00 60895 Payment Amount 105307 STANTON GROUP CONSULTING PROJ -FINAL BILLING PV 2962 001 09999 1024100 310929 Payment Amount 105372 SETON NAMEPLATE COMPANY MAGNETIC BADGE HOLDER PV 3175 001 09999 1024/00 C516172 -01 Payment Amount 105373 CCS CONTRACTING MCDONALDS LIFT -THRU 1020/00 PV 3219 001 09999 1024100 20001020A Payment Amount Payment Amount 1,425.00 44.99 44.99 238,426.00 238,426.00 1126 20.00 3126 180.00 180.00 7.18 7.18 8,355.00 8,355.00 47.40 47.40 18,270.00 18,270.00 1012000 16:06:37 Page- 31 Discount Taken 105182 DOBRATZ, CHRIS 105183 RICE LAKE CONTRACTING 105193 RUNKE, JOLEEN 105259 ALLVIEW INC 105274 MINN BLUE DIGITAL IMAGING 105307 STANTON GROUP 105372 SETON NAME PLATE COMPAN` 105373 CCS CONTRACTING Bank Account 00002252 CASH R04570 CITY OF HUTCHINSON Version Create Payment Control Groups Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024/00 . . . .. Payee .............. Stub .. Document....... Due Inw1ka Num ber Name/ Malting Address Massage Ty Number In Co Data Number 105426 US FILTER CORP ANION MID -WEST, CAT MID -WEST PV 3020 001 09999 1024100 846882 BALL VALVES, TRAVEL, LABOR PV 3021 001 09999 1024100 585155 Payment Amount 105427 DEMEYER, ANDY REIMB-SAFETY BOOTS PV 3019 001 09999 1024100 20001009 Payment Arnount 105428 PIZZA HUT OF AMERICA PIZZAS PV 3013001 099% 10124/00 2349293 Payment Amount 105429 HENKE, PAULINE REFUND SENIOR TOUR PV 3007 001 09999 1024/00 20001009 Payment Amount 105430 KANDIYOHI COUNTY SHERIFF SERVICE FEE, MILEAGE PV 2961 001 09999 102400 T% -00 -1973 Payment Amount 105435 KAPS WELDING REPAIR CART PV 3010 001 09999 1024/00 7410 Payment Amount 105436 JOHNSON, DIANE REFUND -DOLL CLASS CANCELLED PV 3039001 09999 1024/00 50606 Payment Amount 105437 MENZE, CINDY REFUND -DOLL CLASS CANCELLED PV 3040 001 09999 1024100 49668 Payment Amount 10/2.16:06:37 Page- 32 Payment Discount Anwunt Taken 381.40 610.58 991.96 60.00 60.00 133.53 133.53 60.00 60.00 30.80 30.80 105426 US FILTER CORP 105427 DEMEYER, ANDY 105428 PIZZA HUT OF AMERICA 105429 HENKE, PAULINE 105430 KANDIYOHI COUNTY SHERIFF 35.00 105435 KAPS WELDING 35.00 20.00 20.00 20.00 20.00 105436 JOHNSON, DIANE 105437 MENZE, CINDY R04570 • CITY OF HUTCHINSON Create Payment Control Groups 102 16:06:37 Page- 33 Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 1024/00 _ ..... .. Payee ... ...... Stub Document...... Due Invoice Payment Discount Number Name / McIIIng Address Message Ty Number Itm Cc Date Number Amount Taken 105438 NESS, DOUG FOOTBALL REFEREE PV 3038 001 09999 10/24100 20001012 210.00 105438 NESS, DOUG Payment Amount 210.00 105439 MILLE LAGS COUNTY COURT ADMIBWIL MONEY -ALAN HANSEN PV 3062 001 09999 1024/00 20001019 200.00 105439 MILLE LACS COUNTY COURT ADMIN Payment Amount_ 200.00 105440 SPORTELLL BRIAN REIMS- UNIFORM REPAIR PV 3124 001 09999 1024/00 20001011 30.42 105440 SPORTELLI, BRIAN Payment Amount 30.42 105441 MHSC /ADVANCED DRIVING FACILITUITION- AMANDAALSLEBEN PV 3132 001 09999 1024100 20001009 502.00 105441 MHSC /ADVANCED DRIVING FACILITY Payment Amount 502.00 105442 MENARDS INC INFRASTRUCTURE OVERSIZING PV 3171 001 09999 1024/00 20001023 49,954.00 105442 MENARDS INC Payment Amount 49,954.00 105443 KELLY INN LODGING -HUTCH PARK & REC PV 3213 001 09999 102400 20001023 418.15 105443 KELLY INN Payment Amount 418.15 105444 SMOKE -EATER OCTOBER PUBLICATION PV 3187 001 09999 1024100 20001001 91.00 105444 SMOKE -EATER Payment Amount 91.00 105445 ASP TRAINING BATON, TRAINING BAG PV 3180 001 09999 1024/00 106855 -IN 117,00 105445 ASP Payment Amount 117.00 R04570 6 CITY OF HUTCHINSON Create Payment Control Groups 1' 10/24100 16:06:37 Page - 34 Bank Account 00002252 CASH Version LOG20001 Originator CKRISHNAMO Payment Instrument Check Payment Pay Through Date 102400 .... .. Payee .............. Stuh .. Do meet....... Due Nu mber Name / M alting Address Messa Ty Number Ilm Co Date 105446 SAGE CONTROL ORDANCE INC PORTABLE TARGET SYSTEM PV 3179 001 09999 1024/00 6199 Payment Amount 105447 ALL STATES FREIGHT SYSTEMS CONVEYOR SECTIONS FREIGHT PV 3193 001 D9B99 1024100 583151 Payment Amount Invoke Payment D4scount Number Amount Taken 131.18 105446 SAGE CONTROL ORDANCE INC 131.18 1,800.00 105747 ALL STATES FREIGHT SYSTEMS 1.800.00 Total Amount to be Processed Total Number of Payments to be Processed 860,201.58 227