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cp02-11-1997 c0 0 0 FEBRUARY SUNDAY MONDAY TUESDAY 1997 -9- -10- -11- HUTCHINSON 1:00 p.m. - HATS Board Meeting at CITY HATS Facility CALENDAR 5:30 p.m. - Light Traffic Advisory 5:30 p.m. - City Council Meeting at WEEK OF Board Meeting at City Center City Center Council Chambers Main Conference Room February 99 to February 15 WEDNESDAY THURSDAY FRIDAY SATURDAY -12- -13- -14- -15- CONFERENCE /SEMINAR/ 10:00 am. - Directors Meeting in VACATION Staff Conference Room 2/11 -12 - Randy DeVries (S) C = Conference S = Seminar V = Vacation • AGENDA REGULAR MEETING - HUTCHINSON CITY COUNCIL TUESDAY, FEBRUARY 11, 1997 CALL TO ORDER - 5:30 P.M. 2. INVOCATION - Rev. James Devorak, St. Anastasia Catholic Church PRESENTATION OF PLAQUES OF RECOGNITION: ► DR. DENNIS MURPHY ► TIM MILLER PRESENTATION BY BOY SCOUT TROOP #246 ► PROCLAMATION DECLARING FEBRUARY 22 AS LORD BAYDEN - POWELL DAY 3. CONSIDERATION OF MINUTES MINUTES OF REGULAR MEETING OF JANUARY 28, 1997 Action - Approve as presented - Approve as amended • 4. CONSENT AGENDA (a) REPORTS OF OFFICERS, BOARDS AND COMMISSIONS 1. BUILDING OFFICIAL'S REPORT - JANUARY 1997 2. AIRPORT COMMISSION MINUTES OF JANUARY 27, 1997 3. LIBRARY BOARD MINUTES OF JANUARY 27, 1997 (b) RESOLUTIONS AND ORDINANCES -- NONE (c) SNOW REMOVAL PERMIT FOR THOMAS J. PRIEVE, DBA PRIEVE LANDSCAPING (d) APPOINTMENTS TO SENIOR ADVISORY BOARD ► JOHN AUL ► TERESA HATTEN (e) APPLICATION FOR TEMPORARY SUNDAY ON -SALE LIQUOR LICENSE FOR AMERICAN LEGION POST 96 ON FEBRUARY 16, 1997 (f) SUPPLEMENTAL AGREEMENT NO. 1 FOR SOUTH GRADE ROAD (LETTING NO. 5/PROJECT NO. 96 -07) (g) CONTRACT WITH SRF CONSULTING FOR TRANSPORTATION STUDY (MN/DOT & COUNTY PARTNERSHIP PROJECT) • Action - Motion to approve consent agenda CITY COUNCIL AGENDA - FEBRUARY 11, 1997 • 5. PUBLIC HEARING -- NONE 6. COMMUNICATIONS, REQUESTS AND PETITIONS -- NONE 7. UNFINISHED BUSINESS - -NONE 8. NEW BUSINESS (a) CONSIDERATION OF ADVERTISING FOR ENGINEERING/PUBLIC WORKS PERSONNEL POSITIONS Action - Motion to reject - Motion to approve (b) CONSIDERATION OF ADVERTISING FOR BIDS FOR BUDGETED REPLACEMENT VEHICLES AND EQUIPMENT Action - Motion to reject - Motion to approve (c) CONSIDERATION OF COMMERCIAL LOAN DELINQUENCY CHARGE PROCEDURES Action - Motion to reject - Motion to approve • (d) CONSIDERATION OF COMMERCIAL LOAN FEES Action - Motion to reject - Motion to approve 9. MISCELLANEOUS (a) COMMUNICATIONS 10. CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS (a) VERIFIED CLAIMS Action - Motion to approve and authorize payment from appropriate funds RMEEr."X 2 • MINUTES REGULAR MEETING - HUTCHINSON CITY COUNCIL TUESDAY, JANUARY 28, 1997 The meeting was called to order by Mayor Torgerson at 5:30 p.m. Present: Mayor Marlin Torgerson, Council Members Bill Craig, John Mlinar, Kay Peterson, and Don Erickson. Also present: City Administrator Gary D. Plotz, Finance Director Kenneth B. Merrill, City Engineer John Rodeberg, and City Attorney G. Barry Anderson. 2. Due to the absence of a pastor, there was no invocation. 3. MINUTES The minutes of the regular meeting of January 14, 1997 were approved as presented. 4. CONSENT AGENDA (a) REPORTS OF OFFICERS, BOARDS AND COMMISSIONS FINANCIAL/1NVESTMENT REPORT - DECEMBER 1996 2. PLANNING COMMISSION MINUTES OF DECEMBER 17, 1996 • 3. SENIOR ADVISORY BOARD MINUTES OF NOVEMBER 14, 1996 (b) RESOLUTIONS AND ORDINANCES RESOLUTION NO. 10804 - RESOLUTION AUTHORIZING EXECUTION OF GRANT AGREEMENT 2. RESOLUTION NO. 10805 - RESOLUTION ESTABLISHING LOCATION OF TRAFFIC CONTROL DEVICES: "NO PARKING" ZONE ON SOUTH GRADE ROAD AT OTTER LAKE 3. RESOLUTION NO. 10808 - TRANSFERRING $90,000 FROM LIQUOR FUND TO CENTRAL GARAGE FUND 4. RESOLUTION NO. 10809 - RESOLUTION ADOPTING 1997 HUTCHINSON AREA TRANSPORTATION SERVICES FUND, ECONOMIC LOAN FUND, ENERGY LOAN AND HOUSING LOAN FUND 5. RESOLUTION NO. 10810 -RESOLUTION FOR PURCHASE 6. ORDINANCE NO. 97 -187 - AN ORDINANCE AMENDING SECTION 5.43 OF THE HUTCHINSON CITY CODE ENTITLED "HOURS AND DAYS OF LIQUOR SALES" BY DELETING CERTAIN LANGUAGE THERETO AND ADOPTING BY REFERENCE, CITY CODE CHAPTER 1 AND SECTION 2.99, WHICH, AMONG OTHER THINGS, CONTAIN • PENALTY PROVISIONS (SECOND READING AND ADOPT) CITY COUNCIL MINUTES - JANUARY 28, 1997 (c) SNOW REMOVAL PERMITS: ► ED RETTMAN ► REINER CONTRACTING ► ARLEN AAS ► BRIAN WENDLANDT (d) DELINQUENT WATER AND SEWER ACCOUNTS (e) CONTRACT FOR SANITARY SEWER CLEANING AND FLUSHING WITH CITY OF LITCHFIELD (f) CONDITIONAL USE PERMIT REQUESTED BY BRIAN CORDES TO RELOCATE BUSINESS, TWO WAY COMMUNICATIONS, TO 106 ERIE STREET SE WITH FAVORABLE RECOMMENDATION OF PLANNING COMMISSION WITH STAFF RECOMMENDATIONS (ADOPT RESOLUTION NO. 10807) (g) SKETCH/VARIANCE REQUESTED BY OLIVER JOHNSON FOR LOT DEPTH REDUCTION (LYNN TOWNSHIP- -TWO MILE RADIUS) WITH NO RECOMMENDATION FROM PLANNING COMMISSION 0 Motion to approve consent agenda was made by Mlinar, seconded by Erickson and • unanimously carried. PUBLIC HEARING -- NONE COMMUNICATION COMMILMCATIONS, REQUESTS AND PETITIONS -- NONE UNFINISHED BUSINESS -- NONE NEW BUSINESS (a) CONSIDERATION OF APPROVING REQUEST FOR PROPOSALS (RFP) FOR MAIN STREET (TH 15) TRAFFIC SIGNAL IMPROVEMENTS Rodeberp reported that Mn/DOT has authorized the City to design and supervise construction of left turn arrows on Main Street. The estimated construction cost is $20,000, design and inspection is $10,000, and approximately $13,000 would be the City's share of the cost. The City could recover $10,000 in State aid. Following discussion, motion was made by Mlinar, seconded by Peterson, to approve the request for proposals. Motion unanimously carried. (b) CONSIDERATION OF FINAL PAYMENTS ON LEASE AGREEMENT OF COMPOSTING EQUIPMENT It was reported that the final payments are $3,875.00 to Schramm Implement on the Gehl compost mixer and $37,275.00 to NaturTech on the composting bins. • 2 • CITY COUNCIL MINUTES - JANUARY 28, 1997 Following discussion, motion was made by Peterson, seconded by Mlinar, to approve the final payments. Motion unanimously carried. (c) CONSIDERATION OF 1997 COST OF LIVING ADJUSTMENT It was reported that the Wage Committee recommended a 3.2% overall increase for 1997, with the following breakdown: (1) 3% January general wage adjustment for all full -time and permanent part-time employees, with a pay grid change in the same amount; (2) the remaining .2% be directed to those below midpoint who are very low in their ranges and who have shown extraordinary performance. The police step system and new employee probationary adjustment would continue. Following discussion, motion was made by Erickson, seconded by Craig, to approve the recommended 1997 cost of living adjustment. Motion unanimously carved. (d) CONSIDERATION OF 1997 PAY PLAN/WAGE ADJUSTMENTS Following discussion, motion was made by Mlinar, seconded by Peterson, to approve the 1997 pay plant/wage adjustment and to adopt Resolution No. 10806. Motion unanimously carried. 9. MISCELLANEOUS • (a) COMMUNICATIONS FROM HUTCHINSON AREA HEALTH CARE The Board of Directors of Hutchinson Area Health Care requested authorization to purchase the following capital expenditure items: ► Ultrasound Imagine System - $149,445.00 from Advanced Technology Laboratories, Inc. ► Video Endosco�ic System - Reject low bid from Pentax for failure to meet specifications and award bid of $68,668.00 from Olympus Surgical Following discussion, motion was made by Mlinar, seconded by Craig, to approve the requested items. Motion unanimously carried. (b) COMMUNICATIONS FROM CITY ATTORNEY Anderson reported that the Utilities Commission has requested an amendment to the City ordinance regarding the Planning Commission structure. They suggested elimination of the required appointed Utilities Commission member to serve on the Planning Commission since the staff meetings provide input from their representative. (c) COMMUNICATIONS FROM COUNCIL MEMBER BILL CRAIG Craig commented on the HCDC workshop presentation for the Year 2020 Plan and commended the committee on the material made available for future planning. (d) COMMUNICATIONS FROM MAYOR MARLIN TORGERSON is CITY COUNCIL MINUTES - JANUARY 28, 1997 The Mayor made reference to the snow removal work of the Street Department crew. He invited residents to contact the City for assistance in removing ice from areas where snow had been pushed up onto public sidewalks. (a) VERIFIED CLAIMS Motion was made by Erickson, seconded by Peterson, to approve the claims and authorize payment from appropriate funds. Motion unanimously carried. 1 4 1: aul ►1. There being no further business, the meeting adjourned at 5:53 p.m. 0 A • Pcr the rnmui ol: J .... • CITY OF HUTCHINSON BUILDING / PLANNING / ZONING DEPARTMENT c, znna -aa4n • fit HASSAN STREET S.E. HLrTCHI NSUty, MN »moo -- MONTH OF JANU Y NEW RESIDENTIAL PRIVATELY OWNED PU LI Y OWNED Numberd vawetdn HOUSEKEEPING hem Nunberof Valuaawof Buildings Housing ca,swctim BUILDINGS No. Bulargs Haueig lima, construction OMf ono Units Crrit cants a c • fl S.4,-family houses. douched 1Y1i.Ian 101 fwuees, affected or �'° aaw•a 1D2 aYa^g tll Mra i bwld LR v"r �m 1 � and face -famll bild m fa bu ctured homes (moots tones) 108 PUBLICLY OWNED NEW RESIDENTIAL PRIVATELY OWNED Valuation of Hhanber of Valuation at NONHOUSEKEEPING hem Number a# Roams construction, Builargs BUILDINGS No. Orrin cents On* cents e c e Hotels, motels, and tourist cabins tanolant accamrodesana 213 Other nonhouaeke•pig shelter 214 PUBLICLY OWNED NEW PRIVATE V OWNED Vatatonof Number of valuation NONRESIDENTIAL Item Number Dalange noof BUILDINGS NO- Bullrings �� Omer cents a c Amusement, social. and racreatloal 318 nd other rNiglo s 319 3� rages grldnga a °pen ranked) 321 rone end repair garages Rw",d 322 end Inastutlonal 379 nks, and ptoleYbnal 324 rks and uGYtles 326 Schools and other sc!L aIonal 328 Stores and cub ra•rvon 327 Other nonr•sidnbal bull" 328 Structures other than bulld4ga 378 ADDITIONS, PRIVA LY N D PUBLICLY OWN D ALTERATIONS, Item Number Valuation of Number of Buildings Wluat1w of construction AND CONVERSIONS No. Of oc struction Buildings Om't cent (a) (U) (c) (d) (a) Resdntlal - (lassey-dwns or 434 garages and carports h nem, 43e N=stadnllal and nonhousekwPlrg 437 AdaEana of residential garages and carports 438 7.200 (attached and detached) P I Y W N DE MOLITIONS AND RAZING Item Number TE Y Number of Number of Buildings Number of OF BUILDINGS No. of Hausig `nits fui ° • c Single -family houses (attarJW and detadwd) 846 Two4amsy bugdigs 44s Tire°- and lour -famly brildNgs 84r Five-ar -mom famlly buildings 8 All other buHd"s and structures 848 Signs - 1 Total Permits - 5 • Total Valuation $38,200.00 � -109- (1) INDIVIDUAL PERMITS AUTHORIZING CONSTRUCTION VALUED AT 5500,000 OR MORE posse provide the ftlbwinq Inbmntion far each permit au0+oiarq construction valued W $500.000 or more entered in any of the above ns Item No from above soebons (a) Descnpdw (d) Name and address of Omer or builder (c) Ownership Mark (t) one (d) Valuation of construction Omit confs fe) Number d Flousing units (9 I3uiMings (G) Knd of bJI*V ❑ Private ❑ Pubic s She address Km of buid rig ❑ Privets ❑ Pubic s Sde address 10ntl of buildrg ❑ Pdvere ❑ Pubic s Site amm" Wd of bwang O Ptivs[e ❑ Pubic S She address Comments Are you aware of my new pennh-Isvanp jurlsdctions7 ❑ No ❑ Yw - Pleaas ydve addleorsl Nfom don in commemfs. Nano of person b contact mgardnp this report Telephone Area code Nunn Extensbn Tllle NO POSTAGE NECESSARY IF MAILED IN THE UNITED STATES BUSINESS REPLY MAIL IMSTCUIaw KAWITNO.1410 aOSTM WtlACHVBEtla POSTAGE w BE PAID BY ADDRESSEE FW. Dod it 99 Anrm.4nAUO1�E ®cwp:e Building Staligics PO BGe 609 Lcrfngrom ALA 02173 -9536 • A III Pr III III I11111 811„119111P,PLLII111111Prr6111 • + HUTCHINSON AIRPORT COMMISSION January 27, 1997 7:30 p.m. Airport Terminal Meeting called to order at 7:35 p.m. by Chairman Dave Skaar Members Present: Dennis Kahl, Joe Dooley, Al Koenig Members Absent: Robert Hantge, Mayor Torgerson Guests: Dick Nagy, Bernie Knutson, Jim Faber, Tom Parker, Marty Barnes City Staff: Doug Meier Motion made by Joe Dooley, seconded by Dennis Kahl to draft a letter from the Commission to John Rodeberg outlining the water problems in the New Hangar. Meeting adjourned at 7:50 p.m. • Next scheduled meeting will be held at Airport Lobby at 7:30 p.m. on the 24th of February, 1997. Report Submitted by Doug Meier n LJ Hutchinson Public Library Boatel Meeting Monday, January 27,1997 • Members Present Connie Lambert, Joe Schulte, Paul Wright, Larry Ladd, Mary Henke, Lois Carlson Members Absent Sue Munz,Joyce Beytien, Kay Peterson, Richard Peterson Paul Wright called the meeting to order. The November 25.1996 minutes were reviewed. Old Business I. Internet Installation 1.Willmar will be the first site - mid February 2. Hutch Telephone will come in and lay wires etc. in February 3. Library location discussed II. Staggered Board terms approved III. National Library Week - April 13 -19 1. Ideas presented for library week a. Leader feature story b. KDUZ c. Vi Meyer interview d. School visits and bulletins e. Citizens Bank Community News - (Chamber) f. Channel 10 g. 'Books & Bytes" - mall- invite an author out. Mary checked with her. h. Friends group - Work out something with volunteers - (gift certificates, Hutch bucks, thank you coffee etc. i. Demonstrations on Internet (Chamber people) j. Augsburg Pub - (Donna Erickson - author - Channel 2 "Donna's Day" -guest k. Mrs. Reid New Business I. PLS "Pioneer" award for Ralph Bergstrom 1. Mary Henke reported sending in report on activities and 50 year service of Ralph Bergstrom II. PLS Board Meeting 1. January meeting cancelled due to bad weather 2. PLS Automation Newsletter - January 1997 - a. News letter passed out and discussions were held regarding approval of cities and counties and installations of Internet in libraries. Next meeting will be held February 24, 1997 at 4:30 P.H. Meeting adjourned. Lois Carlson, Sec. Pro tem • APPLICATION FORj OW REMOVAL M-POUM 2-0 the..._.. CITY COUNCIL ............. .. . ..... -- 4( Y_..._ .................... . — --------- ------ IOU COUX4 O f .............. M.C.11T.Q.01. - - - .. - _ .. ............................... State of Minnesota: The undeMined owner who" address .......... . Qra ... REMOVE SNOW WITH .................................................... f a permit to....... upon that certain tract of land dagariba as followa: Lot....-- ........................................ ; Block......... ...._._..............._._._..._ plator addition... .......... ........................... - ................. .. ... ..... . ............ ; addren ............................................ ...... ............... . ..... . .. ....... which la of the following size and area; width..._....._. ..._ .. ... ....... .. ... I ....... fed; lenkith- ...... .. ..................... ... ' feet; area ....... WITHIN THE CITY LIMITS ............................................................... .... ........................................ . ..... . .... I ......... . . . ................... . ............ . I .... ... and here-by agrees that, in case such permit is Lfranted, that all wort which shall be done and all matarlaI8 which shall be used ahall comply with the plans and spedfloations therefor herewith eubmitted and with all the ordinances of 8aid.......CITY OF HUTCHINSON applicablethereto. ....... I ............ -................... ............................... . .. .Ypplloant further alress to pad/ fees Or asift"nOntO at the time and in the amounts specified as follows: VOAL ...................... .............._......._ °_.... °• . .... . . . . . ...... I ............... ...... ...... ............ . ................. . ................................ ............................... . ...... . .. .. ...... ... . ... ........... .................. .... . . .. ........... ... ..... . ..... ....... .. . ... .. . . . VVV Owner PAID '"+ 2 9 1997 City r ,!71son 0 0 I N T E R MEMO O F F I C E Date: January 28, 1997 To: Mayor & City Council From: Marilyn J. Swanson, Administrative Secretary ''I_IWO I Dieu OWDRELIZIN 1 /.1C C1._'I The following two individuals have consented to appointments for a second term on the Senior Advisory Board: 11 0 John Aul Teresa Hatten • —_-P' Minnesota Department of Public Safety — LIQUOR CONTROL DIVISION 444 Cedar St. /Suite 100L 3 St. Paul, MN 55101 -2156 - (612)296 -6439 TDD (612)282 -6555 �....� . APPLICATION AND PERMIT FOR A I TO 4 DAY TEMPORARY ON -SALE LIQUOR LICENSE TYPE OR PRINT INFORMATION NAME OF ORGANIZATION /ymcielcqu L_'6ioA� POST qi6 DATE ORGANIZED IlS7 TAX EXEMPT NUMBER STREET ADDRESS 3 S 13 90 14 S CITY #47i:# /NSW STATE ZIP CODE M Al SS3_r6 NAME OF PERSON MAKING APPLICATION 57 F VEN 6,e EYVx_- BUSINESS PHONE 587- 0930 I HOME PHONE 1 M e') 86 V DATES LIQUOR WILL BE SOLD (1 to 4 days) TYPE OF ORGANIZATION C!A/Q,4y FEQ / ( 997 XC LUB E CHARITABLE ❑ RELIGIOUS ❑OTHER NONPROFIT ORGANIZATION OFFICER'S NAME domM• V/RG/e- Vo /6T ADDRESS 3AC fqur S.F. ,0F4'7rH 1NS0N. 1-1N. OR ANIZATION OFFICER'S NAME 06'eX K OLSON ADDRESS jr 34 0 AUE SE 1je AVAv ORGANIZATION OFFICERS NAME .57]FV ,6A( 64EAI&E C[Ug 17164 ADDRESS 3.f 3 , ep Loca tion where l will en outdoor area, describe . ?S _W AMC S F_ . «Ccrcfs/ /✓ /I''A" '5L Illk I/EA17 d 4alg MrG e- ,4A) ocln -f WV /TES &- Will the applicant contract for intoxicating liquor services? If so, give the name and address of the Liquor license providing the service. Am E,C/CAl,✓ zE6/o,d 00sr 9b f 340 /JVF' S e 114 1NSa10 . /AV. SDrFrb Will the applicant cam liquor liability insurance? If so. the carrier's name and amount of coverage. (NOTE: Insurance is not mandatory) YES . APPROVAL APPLICATION MUST BE APPROVED BY CITY OR COUNTY BEFORE SUBMITTING TO LIQUOR CONTROL CITY /COUNTY _ DATE APPROVED CITY FEE AMOUNT LICENSE DATES DATE FEE PAID SIGNATURE CITY CLERK OR COUNTY OFFICIAL APPROVED LIQUOR CONTROL DIRECTOR OTE: Do not separate these two parts, send both parts to the address above and the original signed by this division will be returned as the license. Submit to the City or County at least 30 days before the event. PS-09079(lin5) 0 N T E R MEMO O F F I C E Date: February 7, 1997 To: Mayor & City Council From: Marilyn J. Swanson, Administrative Secretary Subject: AGENDA ITEMS 44f) & (g) John Rodeberg has informed me that agenda items 4-(f) and (g) will be handed out at the City Council meeting. Oil � - F M E e ' ! R A N 1 February 6, 1997 TO: Mayor and City Council FROM: John P. Rodeberg, Director of Engineering/Public Works RE: Consideration of Advertising for Engineering/Public Works Personnel Positions Engineering/Public Works staff and the Directors have been reviewing options for filling job vacancies due to retirements (Maintenance Operations Supervisor and Human Resource Coordinator) and job transitions (Planning Coordinator) for sometime. We have also had issues regarding the lack of staff availability in support areas, creating a real back -log of projects, and the inability to complete projects on schedule. The Information Services Coordinator is overwhelmed, and has been unable to provide proper support to Geographic Information Systems (GIS). This has created some hard feelings with other departments that need this information, and have provided financial and manpower support (Police, Streets, Water/Wastewater, Hutchinson Utilities, etc.). Also, the • Planning Coordinator was never able to provide Public Works support noted in her job description due to her roles in the Excellence Plus program and other duties that were not in her original job description. This has created a gap in service to the Engineering and Public Works Departments. We are proposing to modify job descriptions to fill these needs without increasing the total cost to the City. Our proposal is as follows: UDerade Retirine (Existine) Maintenance Onerations Sunervisor position to Assistant dic Works Director. This position would replace Doug Meier's position when he leaves in April. Some of the Planning Coordinator duties would shift to this position. A strong, single supervisor with more personnel and financial management skills is needed at this position. There used to be a position (Ralph Neuman) that did some of this work. We had hoped that the Planning Coordinator position would help with this work, but it has not worked out as expected. This position would cover for me at Council Meetings involving public works areas, while Cal would continue to fill in on Improvement Project/Public Hearing issues. 2. Add GIS Technician to support Information Services Coordinator and eliminate Planning UPublic Works) Coordinator position Larry Huhn's current job description would be modified to add some of the duties previously provided by the Planning (/Public Works) Coordinator. Since we are shifting some computer training duties to the Human Resources Coordinator, his job classification would not change. • City Center 111 Hassan Street SE Hutchinson, MN 55350 -2522 (320) 587 -5151 Fax (320) 2344240 Parks & Recreation 900 Harrington Street SW Hutchinson, MN 55350 -3097 (320) 587 -1975 Fax (320) 2344240 Police Services 10 Franklin Street SW Hutchinson, MN 55350 -2464 (320) 587 -2242 Fax (320) 587 -6427 i -Printed on recycled paper - This additional support would also allow work to begin again on the GIS/MIS system development. This work has been at a standstill due to the demands of trouble shooting our expanded computer and MIS system. The new technician would complete work related to GIS and help complete coordination activities with other departments. They would also help support work in the Engineering Department that was reduced when Larry's position was upgraded. We propose to relocate an existing Engineering Technician to this position and then hire a new Engineering Technician. No change in salary grade levels is proposed! Modify Street Supervisor Position to Maintenance Operations Supervisor position These two job descriptions are at the same pay level and grade. The position is proposed to be modified to take into account the new responsibilities of the Assistant Public Works Director. The proposed new job descriptions for the Assistant Public Works Director, Maintenance Operations Supervisor and GIS Technician are attached. Also attached is a "Public Works Reorganization Cost Review ". This spreadsheet indicates current and proposed salary levels. As shown the salary compensation package is proposed to be slightly lower than the current levels. We are also recommending revising the HATS Secretary position due to increased demands and qualifications. The current secretary is completing work far in excess of original expectations and will provide increasing support to all three HATS agencies. The proposed increase in salary is not proposed to exceed the savings the above reclassification, and additional compensation received from the state and county. We have spent considerable time reviewing options on how best to serve the City. We believe that this proposal best addresses our needs, with virtually no increase in overall salaries. We recommend approving the proposed job descriptions and advertising to fill these positions. This recommendation includes: ► Discontinue Planning (Public Works) Coordinator position. ► Approve new position description for Assistant Public Works Director as presented at grade E2, and approve advertising for position. This would replace the existing Maintenance Operations Supervisor position. ► Approve Revision of Street Supervisor Position to Maintenance Operations Supervisor position when Assistant Public Works Director is hired, at no increase in grade or level. ► Approve new position for GIS Technician and laterally fill the position in- house. Advertise for new Engineering Technician to fill vacated position. Both positions are proposed to be at the current grade of the Engineering Technician. ► Approve reclassification of HATS Secretary to Grade VI, which is the same level as similar City positions. ► It is understood and agreed that the total compensation package for these revisions shall be virtually identical to current levels. Any increase in total revision salary cost due to potential starting wage issues for Assistant Public Works Director must be approved by the City Council. 0 MR Assistant Public Works Director Information Services Coordinator Maintenance Operations Supervisor Other Support /Staff Airport Operations • O Airport Maintenance Personnel Alley /Street Maintenance • O Cemetery Operations • Cemetery Supervisor Central Garage Operations t& vmsl • O Mechanic, Secretary Dam Maintenance • O HATS Facility Operations 0 O County /State Psersonnel Painting/Striping • O Parking Lot Maintenance • O Pavement Management Systems • O O Sidewalk/Sign Maintenance 0 O Snow Removal Operations • Street Crew Chief Storm Sewer Maintenance • O Street Light Maintenance • O Hutchinson Utilities Street Sweeping /Flushing • O Street Maintenance Planning Department Support • O O Planning Director GIS Development/Management • GIS /CAD Tech. R -O -W /Property Management O C� • Management O Support February 6, 1997 All staff noted is under the direction of Director of Engineering/Public Works G:IPUBWORKSUA rGUT -/.WPB Public Works Reorganization Cost Review Position Status Grade urrent aq9Rjngj�-- ad Wi�o ren unran Salary Low Hi Low `'Current Proposed Planning/Public Works Coordinator Vacant G $14.59 $21.88 $16.08 Assistant Public Works Director Proposed E2 $16.85 $25.27 $20.00 Maintenance Operations Supervisor Retired - XI $14.59 $21.88 $18.90 GIS Technician Proposed Ix $12.0 $18.08 $14. 777 i. wk4 TITLE: ASSISTANT PUBLIC WORKS DIRECTOR • DEPARTMENT: MAINTENANCE, MOTOR POOL, STREET, CEMETERY, AIRPORT, H.A.T.S. FACILITY ACCOUNTABLE TO: DIRECTOR OF ENGINEERING /PUBLIC WORKS SUMMARY: THIS IS SUPERVISORY/MANAGEMENT WORK IN PUBLIC WORKS DEPARTMENTS DUTIES AND RESPONSIBILITIES: The Assistant Public Works Director shall direct the daily operations of the Public Works Departments (Maintenance, Motor Pool, Street, Cemetery, Airport, HATS Facility). Position shall report to the Director of Engineering/Public Works. The position shall provide direct supervision to all Public Works employees. Supervisory support shall be provided to the Assistant Public Works Director by the Cemetery Supervisor and Maintenance Operations Supervisor. Specific job duties shall include: 1. Directs daily operations of motor pool (central garage) for all city vehicles. a. Maintains dispatching system and departmental use of each vehicle b. Develops a maintenance schedule for city owned automobiles and equipment through utilization of the DataStream MP -2 Vehicle Management System (VMS). c. Sets priorities on vehicle maintenance with chief mechanic. d. Updates and maintains vehicle records in coordination with the Public Works Secretary. e. Writes specifications for new equipment with review by Director of Engineering/Public Works. • Makes recommendation to City Council on needs. Confers with Director of Engineering/Public Works and department heads when planning equipment improvements. Advertises for bids on vehicles. 2. Directs daily operations of the cemetery. Coordinates activities of the Cemetery Supervisor. Helps coordinates work between cemetery maintenance and street supervisors. Arranges work schedule of Cemetery Supervisor in other departments as time permits. 3. Supervises airport operations. Coordinates maintenance work with Maintenance Operations Supervisor. a. Controls the collection of airport gasoline sales and meter reading. b. Serves as the city's contact with the airport commission. Takes minutes of meetings and submits to city council. c. Facilitates the maintenance of the airport grounds and facilities. Supervises snow removal operations; coordinating park, water /wastewater department, engineering department employees and contracted services. Exercises judgment in calling out employees after a snowfall. Arranges snow removal routes and priorities. Coordinates activities with the County and State Highway Departments, and Maintenance Operations Supervisor and Street Crew Chief. 5. Directs daily operations of the Street Department in coordination with the Maintenance Operations Supervisor. a) Manages the Pavement Management System (PMS) in coordination with the Information Services Coordinator. Provides for annual schedule to update and maintain system. Help • develop reports for department and City Council use. 'P b) Develops and directs the street maintenance program for the City in coordination with the Maintenance Operations Supervisor. • 6. Directs daily operation of maintenance services (HATS Facility, street lights, storm sewer systems, street/special signing, dam) in coordination with Maintenance Operations Supervisor. a) Prepares operational and maintenance schedules b) Provides direction to Maintenance Operations Supervisor in daily operations. Implements Excellence Plus (Total Quality Management) Program for public works departments. a) Develops and maintains measurement systems (PMS, VMS, project/personnel utilization, etc.) b) Coordinates training programs, both through City programs in conjunction with Human Resources, and through recommended outside training. c) Review of Excellence Plus goals and objectives related to public works needs with Director of Engineering/Public Works. 8. Participates with Director of Engineering/Public Works in preparing budgets for public works departments. Reviews monthly budget reports for compliance with funding needs and availability. 9. Helps coordinate daily activities at the HATS Facility between City, County and State staff. Acts as resource to the HATS Joint Powers Board. 10. Conducts performance reviews and recommends salary increases for employees under supervision, subject to review by Director of Engineering/Public Works. 11. Recommends seasonal personnel as needed for departments under supervision. 12. Performs related duties as required. 40 EQUIPMENT General knowledge of all city owned automobiles and motorized equipment, shop equipment, tools and supplies. DESIRABLE QUALIFICATIONS Prefer Engineering, Public Administration, Public Works Management or related degree, or equivalent experience and training. Substantial working knowledge in heavy equipment and automotive operation and maintenance. Supervisory and management ability. Organizational skills. Knowledge and understanding of TQM. Ability to communicate effectively and to maintain good working relationships. WORKING CONDITIONS Work during normal hours of city operations, with some variation for emergency situations. Unscheduled and early hours for winter maintenance. A TITLE: MAINTENANCE OPERATIONS SUPERVISOR • DEPARTMENT: STREET, MAINTENANCE, AIRPORT ACCOUNTABLE TO: ASSISTANT PUBLIC WORKS DIRECTOR SUMMARY: THIS IS SUPERVISORY WORK IN STREET AND OTHER PUBLIC WORKS MAIN'T'ENANCE DUTIES AND RESPONSIBILITIES 1. Supervises and coordinates (and participates as required) in the work of full time and seasonal employees of the street department under the general supervision of the Assistant Public Works Director. a. Dispatches workers and equipment to the various work locations for maintenance, repair and cleaning of asphalt and gravel streets, storm sewer system, manholes and inlets, repair and upkeep of alleys and approaches, maintenance and repair of traffic signs and signals, general repair and maintenance of all city owned property and buildings, and other maintenance services as required. b. Operates all machinery and equipment of the departments as needed. c. Coordinates activities with other departments or maintenance supervisors. d. Coordinates development and updating of Pavement Management System (PMS). e. Coordinates repair of bridges in conjunction with Engineering/Inspection staff. Supervises daily operation of maintenance services (HATS Facility, street lights, storm sewer systems, streetispecial signing, dam) under direction of Assistant Public Works Director a. Establishes maintenance schedules for HATS Facility and site operations b. Facilitates repairs of HATS Facility building and site. c. Prepares operational and maintenance schedules for other maintenance departments. d. Provides direction to street and maintenance staff as required. Supervises daily airport operations and maintenance. a. Controls the collection of airport gasoline sales and meter reading. b. Serves as the city's secondary contact with the airport commission. Takes minutes of meetings and submits to city council if Assistant Public Works Director is unavailable. c. Provides the maintenance of the airport grounds and facilities. 4. Works with Assistant Public Works Director and Public Works Secretary to develop reports regarding street, maintenance and airport operations for utilization by City staff and the City Council. 5. Provides for instruction of street/maintenance personnel in safe work practices, methods of operation and maintenance of equipment. 6. Recommends seasonal personnel as needed for street, maintenance and airport departments. —A 7. Participates with Assistant Public Work Director and Director of Engineering/Public Works in developing annual budget request, and in reviewing monthly budget reports. 8. Coordinates job evaluations and performance pay increase recommendations for employees under supervision with Assistant Publics Works Director. 9. Performs related duties as required. EQUIPMENT: All equipment, machinery and supplies of the street and related departments. DESIRABLE QUALIFICATIONS: Considerable experience in the operation of motorized construction and maintenance equipment. Supervisory ability and experience. Ability to communicate effectively and to maintain effective working relationships. WORKING CONDITIONS: Inside and outside work in all weather. Unscheduled and early hours for maintenance work as required. E 9 TITLE: G.I.S. TECHNICIAN 0 DEPARTMENT: ENGINEERING /INFORMATION SERVICES ACCOUNTABLE TO: DIRECTOR OF ENGINEERING/PUBLIC WORKS SUMMARY: THIS IS SKILLED TECHNICAL WORK INVOLVING THE USE OF G.I.S. HARDWARE & SOFTWARE, AND SURVEYING AND ENGINEERING EQUIPMENT DUTIES AND RESPONSIBILITIES Updates and maintains systems related to Geographic Information Systems (GIS) under direct supervision of Information Services Coordinator. a. Updates geographic database of City, maintaining Hutchinson Area Mapping b. Maintains infrastructure database (sanitary sewer, watermain, storm sewer, street) utilizing appropriate software and hardware. c. Integrates various Engineering/Public Works databases into GIS system; Pavement Management System, sign inventory, LOGIS PID and other databases d. Integrates various municipal databases in GIS system; Park and tree inventory, police E -911, water /wastewater systems, others. e. Coordinates work with other municipal services; Hutchinson Utilities, Hutchinson Area Health Care, etc. f Performs other related GIS duties as required. 2. Performs duties related to Information Services under the direct supervision of the Information Services Coordinator. a. Helps with the trouble- shooting and repair of Personal Computer systems for all city departments. b. Assists in the training of city personnel regarding computer software, network and GIS applications. c. Performs other related services as required. 3. Performs duties related to Engineering Services a. Provides field surveying services as needed. b. Provides drafting services as needed. c. Performs related engineering duties as required. 4. Performs related duties as required. EQUIPMENT: Knowledge of computer hardware and software, and survey and engineering equipment. DESIRABLE QUALIFICATIONS: Associate degree in GIS, engineering technology and/or several years of comparable experience. Experience in surveying and municipal plan drafting. Thorough knowledge in computer applications, AutoCAD and ArcCAD software. WORKING CONDITIONS: Mostly inside work. Some outside work required. Outside work requires light lifting and mobility to provide survey services. F —A' C DATE: February 5, 1997 TO: Mayor and City Council Members FROM: Doug Meier, Maintenance Operations Supervisor SUBJECT: Advertisement for bids Request authorization to obtain Price Bids/Quotes concerning the purchase of the following listed vehicles or equipment. This equipment and vehicles were included in the 1997 Budget for replacement. One (1) New 1997 Aerial Lift/Material Handler Truck • One (1) New 1997 Front -end Loader, 3 yard machine One (1) New 1997 Mini -van One (1) New 1997 truck, 1 /2 ton, 2 -wheel drive • City Center I II Hassan Street SE Hutchinson, MN 55350 -2522 (612) 587 -5151 Fax (612) 2344240 Parks & Recreation 900 Harrington Street SW Hutchinson, MN 55350 -3097 (612) 587 -2975 Fax(612)234 -4240 - Printed on recycled paper - Police Services 10 Franklin Street SW Hutchinson, MN 55350 -2464 r �( 587 -2242 !JX )t Fa (61 (6I2) 587 -6427 Hutchinson Community Development Corporation • POLICY Policy Classification: Admin. Policy Number: A009 Date of Adoption: 10118196 Policy Title: Commercial Loan Delinquency Charge Procedures Commercial Loan borrowers will pay a late charge on delinquent loans. A late payment (not paid by the last day of the month), will automatically incurr a charge of monthly interest plus either 5% of the monthly payment amount or $5.00, which ever is the greater amount. The Loan Administrator will collect the charges as quickly as possible so that the loan can return to a current status. • • y' Hutchinson Community Development Corporation POLICY Policy Classification: Admin. Policy Number: A010 Date of Adoption: 10/18/96 Policy Title: Commercial Loan Fees Commercial Loan applicants will pay an administrative fee of 1 % of the loan amount or a minimum of $50.00, which ever is the greater amount at the time of loan closing. Applicants are also required to pay all loan hard costs which include, but are not limited to: - Title Opinions - Abstracting Costs - Recording Fees (Mortgages, Satisfactions, Subordinations, etc.) - Mortgage Tax • • 'f7ly' HUTCHINSON FIRE - PLACE, INC. 218 S. Main St. Hutchinson, MN 55350 (320) 587 -2164 • Feburaryl0. 1997 City of Hutchinson Attn: Ken Merrill 111 Hassan St. Hutchinson, MN 55350 Dear Sir, Hutchinson Fireplace, having had a recent change of ownership, is having a Grand Opening promotion on the week of Feb. 17, 1997 thru Saturday Feb. 22, 1997. During this time we intend, with your prior approval, to bum two or three woodbuming stoves/ pellet stoves/ wm burning stoves on Second Avenue. We will add single wall pipe to each burning unit to 7 foot height. • We intend to hold seminars on woodburing which would include: cost, efficiency, specifics of installations, and safety. Your concerns include safety, traffic, pollution and the usual myriad that relate more of an overview of our situation. Nonetheless, in order to schedule product and people, we would be appreciative of a response as soon as possible. Sincerly, Tom Whelan n U �- A (J-) HUTCHINSON FIRE DEPARTMENT 205 Third Avenue South East HUTCHINSON, MINNESOTA 55350 *Mem* Hutchinson Fire Marshal I l l Hassen Street S. E. Hutchinson, MN 55350 DATE: 2 -10 -97 TO: Members of the City Council FROM: James Popp Fire Marshal SUBJECT: Open House for Hutch Fire Place Center 0 Hutch Fire Place Center would like to block off a portion of the side walk on second ave. by their business to hold demonstrations on wood burning. The Fire Department would support this as long as safety concerns are followed. Keep the public a sate distance from hot stoves, stoves are a safe distance from combustible materials, and the smoke stays clear of the other business in the area. 0 el—,A (1) HUTCHINSON FIRE DEPARTMENT 205 Third Avenue South East H UTC H I N SO N, MINNESOTA 55350 x M emo y ` Hutchinson Fire Marshal 111 Hassen Street S. E. Hutchinson, MN 55350 DATE: 2 -7 -97 TO: Gary Plotz FROM: James Popp SUBJECT: Open House for Hutch Fire Place Center 0 Bob and Tom from Hutch Fire Place Center are going to have an open house around Feb. 19, 1997. Thev would like to have a wood burning fire place, or stove on the side walk to perform safety demonstrations on proper wood burning technique. Could you address permit and using public walk ways for demonstrations. Thank vou! 0 • RESOLUTION NO. 10811 RESOLUTION REQUESTING A PRESIDENTIAL DECLARATION OF A MAJOR DISASTER WHEREAS, the City of Hutchinson, Minnesota has sustained severe losses of a major proportion, brought on by blizzard conditions from January 4, 1997, and continuing, WHEREAS, the City of Hutchinson, Minnesota has had record snowfalls resulting in plowing and removal expenditures far beyond our capability, WHEREAS, the City of Hutchinson is a public entity within the State of Minnesota. WHEREAS, the following conditions exist in Hutchinson as a result of the disaster: heavy amounts of snow causing some power outages, phone services disrupted in some areas, extra hours of overtime put in by plow operators, plows used to assist in medical situations involving the ambulance and the fire department responding to fire calls. NOW THEREFORE BE IT RESOLVED, that the City Council, for and on behalf of the citizens of Hutchinson, request the Governor of the State of Minnesota to petition the President of • the United States to declare the City of Hutchinson, Minnesota to be a major disaster area through appropriate channels. BE IT FURTHER RESOLVED that this request is for the Infrastructure Support Program as offered through P.L. 93 -288. BE IT FURTHER RESOLVED that the City Administrator is authorized to coordinate the local damage and assist in administration of the disaster recovery process as needed. Adopted by the City Council this 11th day of February, 1997. Marlin Torgerson, Mayor ATTEST: • Gary D. Plotz, City Administrator 9 - A - ( 2) C` -HOLD COUNCIL REPORT TUE, FEB 11, 1997, 10:57 AM ------------------------------------------------------- 1986 IMPRO.BDS FIRSTAR BANK OF MINNESOTA FEES 1950 TIDS FIRSTAR BANK OF MINNESOTA 1994 IMPRO CONST S J LOUIS CONSTRUCTION INC 1996 IMPRO CONST JUUL CONTRACTING CO WM MUELLER & SONS c *> 1997 IMPR. CONST JUUL CONTRACTING CO BURNS MANOR DS FIRSTAR BANK OF MINNESOTA FEES page 1 ----------------------------------------- $222.00* L4/94, FINAL BALANCE L9 /PROJ 96 EST #6 L7 /PROJ 96 EST #6 L2 /PROJ 97, EST #2 FEES $216.00 $216.00* $5,858.80 ,55,858.80* $5,862.17 $9,430.76 $15,292.93* $5,685.62 $5,685.62* $278.00 $278.00* CAP.IMPRO.FUND COAST TO COAST TOOLS, FORKS $120.49 $814.20 GREAT PLAINS SUPPLY CDX PLYWOOD, NAILS, SINKERS $147.04 WELDING SUPPLIES $8.15 HANSEN GRAVEL LANDFILL FROM BANDSHELL $101.50 REIMB - LUNCH, PARKING LARAWAY ROOFING INC BANDSHELL ROOF REPLACEMENT $1,070.62 $160.00 < *> PRINT CARTRIDGES $40.36 $1,439.65* REFUND -CLASS CANCELLED CENTRAL GARAGE BIG BEAR BOLT & HITCH PIN $9.13 REFUND CHASKA TOUR BRANDON TIRE CO TIRES, MOUNT /DISMNT, BALANCE $187.47 $15.00 CARLSON TRACTOR & EQUIP PTO SHAFT TRACTOR TEST $301.65 PLANHOLD FILE FOLDER $820.74 CARQUEST AUTO PARTS ALTNTR, FILTERS, BLADES $1,026.44 CASH WISE OIL $9.80 CITY OF HUTCHINSON FEB MED $432.09 DYNA SYSTEMS QUIK -FIRE TORCH $92,97 FORTIS BENEFITS FEB LTD $19.63 • G & K SERVICES UNIFORMS $62,27 H &L MESABI OPERATING SUPPLIES $769.61 HOLT MOTORS INC ELEMENT $160.77 HUTCHINSON WHOLESALE BELT, BRAKE PADS $317.22 J CRAFT RUGBY HINGE POINT $106.50 L & P SUPPLY CO OIL FILTERS, LOW VISCOS $57.18 LONG LAKE TRACTOR & EQUIP CAP ASSY $16.34 MID CON SYSTEMS INC GEL LUBE $99,76 MN DEPT OF REVENUE REAR WHEEL AXLE, SEAL $121.12 MN MUTUAL LIFE FEB LIFE $6.93 MOTOR VEHICLE TAX & REGIST -1997 FORD $1,120.30 PLOWMANS REPLACE CONNECTOR, LABOR $17,065.39 RIDGEWATER COLLEGE WORK STUDY HOURS $37.50 RUNNING'S SUPPLY HARDWARE $5.70 ST.JOSEPH' -S EQUIPMENT INC RESISTOR, MOTOR, SWITCH $183.17 TERMINAL SUPPLY CO EXTENSION CORD, $75.69 THILL TRACK & TRACTOR SERV REAR AXLE $908.00 TOWN & COUNTRY TIRE FRONT END ALIGNMENT $44.95 US POSTAL SERVICE JAN POSTAGE $7.68 < *> $23,245.26* GENERAL FUND • A.J.SCHAAKE CO. AAGARD WEST ALLEN OFFICE PROD AM.WELDING SUPPLIES ARLT, JOHN BAUMET2, BONNIE BCA /TRAINING & DEVELOPMENT BENNETT OFFICE SUP. BOSKE, SUE BRANDT GARMET LETTERING BURICH, HARRIET BURICH, TERRY BUSINESSWARE SOLUTIONS CADD /ENGINEERING SUPPLY PLAQUE, ENGRAVING $86.56 FEB SERVICE $814.20 RIBBON $276.90 WELDING SUPPLIES $8.15 REIMB- WINTER BOOTS $54.99 REIMB - LUNCH, PARKING $17.76 REG -M HAMMOND- JOHNSON $160.00 PRINT CARTRIDGES $40.36 REFUND -CLASS CANCELLED $30.00 POLOS, SHIRTS, DIGIT. FEE $536.89 REFUND CHASKA TOUR $20.00 REFUND -CLASS CANCELLED $15.00 HP CARTRIDGE $270.72 PLANHOLD FILE FOLDER $820.74 10-A OPEN -HOLD COUNCIL REPORT TUE, FEB 11, 1997, 10:57 AM page 2 - - -__ ------------------------------------------------------ GENERAL FUND CARNEYS ------- ------ RAFFIA --- ------ - - ---- $5.99 CASH WISE OPERATING SUPPLIES $141.57 CDI OFFICE PRODUCTS LTD • PENCILS CHAMBER OF COMMERCE HACC ANNUAL MTG -DICK LENNES ,5167.51 $18.00 CHEN, MEITING REFUND -CLASS CANCELLED $20.00 CITY OF HUTCHINSON FEB MED- MATTSFIELD $30,831.32 COAST TO COAST UPS $368.35 COMMUNITY EDUCATION COMMUNITY EDUCATION REIMS $550.00 CONCERNS OF POLICE SURVIVORS REIMBURSEMENT $20.00 COUNTRY KITCHEN PRISIONER MEALS $29.86 CROW RIVER AREA QUALITY COUNCI JAN SESSION $35.00 DEPT NATURAL RESOURCES DNR REG FEES TO STATE $1,011.00 DOOR SERVICE OF ST. CLOUD 12 FT LH DRUM, LABOR $130.56 DRONEN, JAMEY GYMNASTICS INSTRUCTOR ECHO INDUSTRIAL PRODUCTS CITRA CRYSTALS $ $119.00 296.71 EIGEN, TRACIE HOURS WORKED- CARNIVAL $22.50 EMANS, AMANDA HOURS WORKED- CARNIVAL $22.50 EWERT JR., DICK SNOW REMOVAL $135.00 FAMILY REXALL DRUG NAME BADGES -EE PARTY $53.93 FITZLOFF HARDWARE SUPPLIES $289 FORBES AUTO HITCH, BIKE RACK -SQUAD #4 $1,015.45 FORESTRY SUPPLIERS FLAGGING $29.61 FORTIS BENEFITS FEB LTD $1,516.10 G & K SERVICES UNIFORMS $834.24 GALL'S INC UNIFORMS -JIM POPP $191.92 GALLES, LORI REIMB - OVERPYMT OF LEAGUE FEES $50.00 GARBERG, MARCIA REFUND -CLASS CANCELLED $30.00 GEB ELECTRICAL INC OUTLET REPAIR, LABOR $438.62 GEMPLER'S INC GLOVES $36.70 GOETZ, VERNA REFUND CHASKA TOUR $20.00 GREAT PLAINS SUPPLY STAIN $99.08 GRINA, LISA REIMB - LUNCH, MILEAGE $60.47 HENRYS FOODS INC COFFEE $64.56 HENSEN, MARK REIMB- MEETING FEE $60.00 HILLYARD FLOOR CARE /HUTCHINSON BOWL CLEANER $1,579.89 HUTCH COOP CENEX KEROSENE $29.15 HUTCH FIRE & SAFETY EXTING RECHARGE, HYDRO TESTS 459.84 $255.64 HUTCH PLBG & HTG CO REPAIRS TO INFRARED HEATERS HUTCHINSON LEADER DISPLAY ADS $ $211.50 HUTCHINSON TEL CO FEB SERVICE $6,078.92 HUTCHINSON UTILITIES • MV LAMPS $17,637.55 HUTCHINSON WHOLESALE FUSE $16.95 IDEAL SHOE SHOP BANNER REPAIR $5.00 INK SPOTS PAPER $42.16 JACK'S UNIFORMS & EQUIPMENT TAPES, WANDS $37.55 JEFF'S ELECTRIC LABOR FOR AIRPORT RUNWAY $140.00 JERABEK MACHINE SERV ROLLING LADDER REPAIR $13.79 JOES SPORT SHOP PLAQUE $12.78 JOHNSON, DOUG L. REIMB -MEALS $5.27 JUUL CONTRACTING CO SNOW REMOVAL $2,160.00 K MART TOWELS, CLEANING SUPPLIES $32.49 KRISHNAMDORTHI, CHITRA REIMB- MILEAGE, LUNCH KUCERA, ELEANOR REFUND CHASKA TOUR $ $48.03 20.00 L & P SUPPLY CO HARD HAT LINERS $41.32 L.E.E.D.A. 1997 MEMBERSHIP DUES $25.00 LAKE HARRIET FLORIST PLANT -ANITA LIEPKE $24.33 LEAGUE OF MN CITIES DEDUCTIBLE BILLINGS $6,204.65 LENNES, RICHARD JAN COMPENSATION $2,407.42 LITTLE CRWO ARCHERY CLUB REIMB ARCHERY CLASS $30.00 LOGIS JAN SERVICE $5,877.08 MARX I OF NORTH AMERICA DAILY CLAENDAR $31.08 MCGARVEY COFFEE INC COFFEE $90.00 MCLEOD COUNTY ATTORNEY ADMIN FORFEITURE $152.82 MCLEOD COUNTY FIRE CHIEFS 1996 DUES $150.00 MIKESH, MARCELL REFUND - CHASKA TOUR $20.00 MINNCOMM PAGING FEB SERVICE $147.62 MINNESOTA COUNSELING CENTER EVALUATION & TESTING $225.00 MN DEPT OF REVENUE 1997 SOFTWARE MAINT FEES $131.20 MN ELEVATOR INC. ELEVATOR SERVICE $67.90 MN MUTUAL LIFE FEB LIFE - MATTSFIELD $543.06 MN REC & PARK ASSC TOURNAMENT ENTRY FEES $220.00 MODERN MAZDA TOWS, VEHICLE STORAGE $303.08 MORE 4 OPERATING SUPPLIES $109.54 MR. MOVIES - RENTAL $2 MUSIC STORE, THE MIC W/ CORD $106.90 NORTHWEST CHAP F.B.I.N.A.A. 1997 MEMBERSHIP DUES $20.00 r 1 L J OPEN -HOLD COUNCIL REPORT TUE, FEB 11, 1997, 10:57 AM page 3 ---------------------------------------------------------------------------------------------------- GENERAL FUND PERA- D.C.P. ER SHARE J MLINAR CONTRIB $362.95 PESINA, EVELYN REFUND CHASKA TOUR $20.00 PETZEL, RAQUEL INTERPRETING SERVICES $15.00 • PIONEERLAND LIBRARY SYSTEM 1ST QUARTER PAYMENT -1997 $19,335.25 QUADE ELECTRIC MATERIALS, LABOR- REPAIR FIXTRS $160.13 RASMUSSEN, CRAIG REFUND -CLASS CANCELLED $15.00 REDMAN, MARK REFUND- CANCELLED SWIM CLASS $13.00 RESPOND SYSTEMS VIDEO RENTAL SHIPPING $5.50 RIDGEWATER COLLEGE WORK STUDY HOURS $147.75 RODEBERG, JOHN REIMB- MEALS, LODGING $271.56 RUNNING'S SUPPLY DRILL $373 RYAN, SCOTT OFFICIAL $288.00 SCHRAMM IMPLEMENT SCARIFIER TEETH $187.64 SCOFIELD, WENDY REFUND - CANCEL FROM TOURNAMENT $23.00 SELTZ, FRED REFUND ANNEXATION FEE $342.15 SEWING BASKET SEW EMBLEMS -JIM POPP $17.04 SHEERAN, BILL REFUND -CLASS CANCELLED $30.00 SHOPKO GLUE GUNS $40.50 STANDARD PRINTING FOLDERS $125.99 STAR TRIBUNE SUBSCRIPTION THRU 2 / 2 6/97 $24.05 STATE TREASURER ADMIN FORFEITURE $76.41 SUBWAY PARTY PLATTER, LG DRINKS $36.76 SURVIVALINK VIVALINK, BATTERIES, CASE $3,071.34 SWANSON, MARILYN M. REIMB -EE PARTY FUND RAISERS $141.55 TAYLOR TECHNOLOGIES PHONE SUPPORT $30.00 TEMPLETON INC ER CONTRIB -GARY PLOTZ JAN 97 $361.91 TKDA PROFESS SERV- AIRPORT PHASE II $4,901.97 TORGERSON, MARLIN REIMB- MILEAGE $39.00 TRI CO WATER COND SOFTNER RENTAL $71.89 TRIAX CABLEVISION FEBRUARY SERVICE $5.93 TWO WAY COMM INC BATTERIES $57.51 UHL CO. JANUARY SERVICE $1,167.16 UNIFORMS UNLIMITED UNIFORMS & ACCESSORIES $1,192.35 UNITED BLDG CENTERS PLEXIGLASS $7.88 UNIVERSITY OF MN PAT MANUALS $66.00 US POSTAL SERVICE JAN POSTAGE $1,159.86 US WEST COMMUN FEB SERVICE $654.70 VICTORIAN INN LUNCH BUFFETS $100.60 VIKING OFFICE PRODUCTS LASER CARTRIDGE $109.43 WAL -MART SOAP, LAUNDRY SOAP $225.17 • WEST PUBLISHING PYMT CTR PUBLICATIONS $63.33 WESTERN MEDICAL ENTERPRISES SAFETY GLOVES $33.58 WESTPHAL, DARLENE REFUND CHASKA TOUR $20.00 XEROX JAN CHARGE $150.00 YOCK, KAY REFUND- CANCELLED FROM CLASS $5.50 YUKEL, GLADYS REFUND CHASKA TOUR $20.00 *� $123,153.22* HAT -FAC. CONST. WILLMAR OVERHEAD DOOR SALES DOOR REPAIR, LABOR $116.00 < *> $116.00* HUTCH TRANS FAC. COAST TO COAST CLEANERS $6.37 G & K SERVICES UNIFORMS $255.65 HILLYARD FLOOR CARE /HUTCHINSON WET FLOOR SIGNS $40.47 HUTCHINSON TEL CO FEB SERVICE $226.06 HUTCHINSON UTILITIES JAN GAS & ELEC $11,286.94 MN ELECTRIC SUPPLY CO 2000W PHOTO CONTROL $44.99 RUNNING'S SUPPLY ICE MELTER $14.46 SHOPKO TAPE, LABELS $10.95 US POSTAL SERVICE JAN POSTAGE $4 WAL -MART PHOTO FRAME, CORK BOARD $9.77 WITTE SANITATION JAN SERVICE $63.37 < *> $11,963.97* LIBRARY FUND DS FIRSTAR BANK OF MINNESOTA FEES $222.00 < *' $222.00* LIQUOR STORE AAGARD WEST FEB SERVICE $45.20 AM.LINEN SUPPLY CO JAN DELIVERIES $156.80 BERNICKS PEPSI COLA JAN POP PURCHASES $541.64 CITY OF HUTCHINSON FEB MED $864.18 COAST TO COAST JANUARY PURCHASES $30.22 • - OPEN -HOLD COUNCIL REPORT TUE, FEB 11, 1997, 10:57 AM page 4 LIQUOR STORE ------------- ------- ------ ------------------------------------------------------- ED PHILLIPS & SONS CO. JAN BEER PURCHASE $7,104.66 FORTIS BENEFITS FEB LTD $36.85 GRIGGS COOPER & CO JAN BEER PURCHASE $6,008.21 • HENRYS FOODS INC JAN MISC PURCHASES $2,098.86 HERMEL WHOLESALE JAN MISC PURCHASES $449.45 HUTCHINSON TEL CO FEB SERVICE $132.75 _ JOHNSON BROTHERS LIQUOR CO. REMAINING INVOICE BALANCE $9,973.93 JORDON BEVERAGE INC. JAN BEER PURCHASE $2,228.40 LENNEMAN BEVERAGE DIST. INC JAN BEER PURCHASE $3,949.05 LEO'S TRANSFER LAST HALF JAN FREIGHT $508.93 LOCHER BROS INC JAN BEER PURCHASE $16,080.27 LUNDHOLM, LORI WINDOW CLEANING $42.60 MN MUTUAL LIFE FEB LIFE 13.02 MN SHERIFF 1997 SUBSCRIPTION 35.00 MORE 4 SUPPLIES 75.06 PAUSTIS & SONS JAN WINE PURCHASE $950.36 QUALITY WINE & SPIRITS CO. JAN BEER PURCHASE $3,451.58 SEGAL WHOLESALE MISC TOBACCO PURCHASE $2,003.58 TRI CO WATER COND WATER DELIVERIES $47.44 TRIPLE G DISTRIBUTING INC JAN BEER PURCHASE $18,273.50 US POSTAL SERVICE JAN POSTAGE $59.52 VIKING COCA COLA JAN POP PURCHASE $495.00 < *> $75,656.06* RURAL F. D. HUTCH COOP CENEX DIESEL 82,90 < *> $2.90* WATER /SEWER FUND AAGARD WEST JAN PICKUP $26,454.10 AG SYSTEMS 1/4 SB HYD HOSE $2.19 AM.WATER WORKS ASSN SERVICES FOR 1 YEAR $150.00 BRINKMAN STUDIO FILM, SLIDE FILM $28,22 BUSINESSWARE SOLUTIONS RIBBON, LABOR $60.21 CASH WISE SHRINK WRAP $42.33 CDI OFFICE PRODUCTS LTD BOOKENDS $140.31 CITY OF HUTCHINSON FEB MED $4,266.71 COAST TO COAST SUPPLIES $227.73 COLE PAPERS TOWELS $47.94 • COMPOSTING COUNCIL, THE CROW CHEMICAL CO COMPOSTING KIT, LITERATURE TOWELS $102.00 CULLIGAN WATER COND RENTAL ,5153.33 $14.00 D.P.C.IND.INC CHLORINE $492.90 DATA SUPPORT CO INC. FILTERS $50.85 DYNA SYSTEMS CAPSCREW $162.54 ELECTRO WATCHMAN SERVICE CALL, LABOR, DRIVE TM $265.00 FITZLOFF HARDWARE KEROSENE CAN $15.75 FORTIS BENEFITS FEB LTD $201.46 G & K SERVICES UNIFORMS- $333.89 HACH COMPANY LAB SUPPLIES $312.67 HILLYARD FLOOR CARE / HUTCHINSON BOWL CLEANER $43.79 HUTCH COOP CENEX LP GAS BOTTLE, OIL $174.20 HUTCHINSON TEL CO FEB SERVICE $609.95 HUTCHINSON UTILITIES POSTAGE $27,111.68 HUTCHINSON WHOLESA LE PARTS $6.79 IMPERIAL PORTA THRONES DECEMBER RENTAL $111.06 JASPER ENGINEERING & EQUIPMENT REBUILD SIOUX STEAM CLEANER $1,669.71 JEFF'S ELECTRIC LABOR - STONEY PT LIFT PUMP $635.24 L & P SUPPLY CO HYDRAULIC $220.85 LAB SAFETY SUPPLY INC SAFETY SUPPLIES $168.26 LAKE HARRIET FLORIST PLANT -JERRY HUGHIE $28.51 LOGIS JAN SERVICE $2,046.13 MID CON SYSTEMS INC GEL LUBE $99.86 MN DEPT OF REVENUE FILTERS, PROWEIGH $15.63 MN MUTUAL LIFE FEB LIFE $70.77 MN VALLEY TESTING LAB WATER TESTS 194.00 NCL LAB SUPPLIES 295.20 PC NOVICE SUBSCRIPTION RENEWAL $64.00 QUADE ELECTRIC PVC, CONDUIT & WIRE -PER QUOTE $540.00 RICK'S CAST AWAY COLEMAN, PAULIN MINI $30.65 RIDGEWATER COLLEGE WORK STUDY HOURS $88.50 SAFETY FIRST PROGRAMS PROCEDURES & TRAIN $632.00 SANIFILL INC LOADS 1/2/97 THRU 1/17/97 $6,467.05 SHOPKO TELEPHONE STAND $37.26 STANDARD PRINTING PAPER, SHT PROTECT, LABELS $77.07 TRI CO WATER COND SALT DELIVERIES $49.93 r 1 u OPEN -HOLD COUNCIL REPORT TUE, FEB 11, 1997, 10:57 AM • • page 5 ------------------------------- $75,012.22* $338,364.63* • IMMEDIATE PAY COUNCIL REPORT TUE, FEE 11, 1997, 11:19 AM page 1 ---------------------------------------------------------------------------------------------------- 1987 IMPROV. BDS FIRSTAR BANK OF MINNESOTA FEES & EXPENSES $181.00 • < *> $181.00* GESGERPL FUND DEPT NATURAL RESOURCES DNR REG FEES $899.00 PROJECT OUTREACH SUBSCRIPTION $25.00 < *> $924.00* LIQUOR STORE CITY OF HUTCHINSON PAYROLL 1 -31 -97 $7,694.15 < *> $7,694.15* PAYROLL FUND AETNA VARIABLE LIFE ASS. CO. EMPLOYEE CONTRIB $770.00 GREAT WEST LIFE INS. CO. EMPLOYEE CONTRIB $100.00 H.R.L.A.P.R. EMPLOYEE CONTRIB $164.00 ICMA RETIREMENT TRUST EMPLOYEE CONTRIB $3,301.91 PERA- D.C.P. EMPLOYEE CONTRIB $205.02 PRUDENTIAL EMPLOYEE CONTRIB $180.00 PRUDENTIAL MUTUAL FUNDS EMPLOYEE CONTRIB $30.00 PUBLIC EMPLOYEES EMPLOYEE CONTRIB $14,393.62 TEMPLETON INC EMPLOYEE CONTRIB $448.46 WADELL & REED EMPLOYEE CONTRIB 150.D0 < *> $19,743.01* WATER /SEWER FUND DELTA CONSOLIDATED TOOL BOX DOOR HINGE $18.50 DNR DIVISION OF WATERS DNR FEE $3,680.79 MPCA REG -RANDY DEVRIES $100.00 US POSTAL SERVICE POSTAGE FOR WATER BILLS $500.00 WEBER, MIKE REIMS -SNOW SHOES $191.69 < *> $4,490.98* $33,033.14* WIRE TRANSFERS MN DEPT OF REVENUE $6,188.22 WITHHOLDING TAXES 30,833.86 • • MINUTES HUTCHINSON EMPLOYEE SAFETY COMMITTEE JANUARY 23, 1997 Present: Chair Dick Nagy, Eldon Barkeim, John Arlt, Hazel Sitz, Floyd Groehler, Jim Ford, Mark Weis, Tom Kloss, and Marilyn J. Swanson Absent: Scott Hanson There was discussion regarding when and where to present the certificates of appreciation to Ron Carter and Doug Johnson. It was the consensus of the committee to have the two out -going committee members present at the February meeting. Hazel reported that all full -time City employees have received the Safety Manual and signed off. Tom informed everyone that on Friday, January 31, John Arlt will make a presentation on "Right to Know" to the City Center Administration/Finance staff at 8:10 a.m. and to the Engineering /Planning/Zoning/Building staff at 8:30 a.m. • The fire extinguisher training is tentatively planned for May or June with Casey Stotts conducting it. Since the training is required each year by OSHA, all City employees (125) will be divided into four groups of approximately 20 in each, and the fire extinguishers from the warming houses will be used for practice purposes. It was suggested that in March or April the Safety Committee sponsor back safety training for all City employees. Two sessions would be held in the Council Chambers. A sub- committee consisting of Scott, Dick and Mark will organize the training program. Representatives from the various City departments reported on what their particular area was doing regarding safety training. The suggestion was made to invite Ken Merrill to the February Safety Committee meeting to present information on the cost of insurance, worker's compensation claims, and employee accidents. The majority of the meeting was spent in discussing and setting 1997 goals and objectives for the Employee Safety Committee. The attached list was compiled. John presented a letter from Governor Ame Carlson regarding a state -wide safety program in which he extended an invitation to participate in the Governor's Occupational Safety and Health Awards Program. It was suggested that Hutchinson submit an application. The next meeting of the Safety Committee will be held on February 20, 10 a.m., in the City Center • Main Conference Room. The meeting adjourned at 11:55 a.m. HUTCHINSON EMPLOYEE SAFETY COMMITTEE • 1997 GOALS AND OBJECTIVES CPR Refresher Course and Recertification -- September 1997 (OSHA Requirement) 2. Fire Extinguisher Training for City Employees -- May 1997 (Conducted by Casey Stotts) Evacuation/Storm Policies for All City Buildings -- Prepared by Individual Departments 4. Injuries and Accidents -- Sub - Committee • Develop procedure for sub - committee to review accident reports and accident sites • Who/Why/Prevention • Show video entitled "Attitude" which concerns an accident Defensive Driving -- Human Resource Coordinator 6. Incentive Program -- Human Resource Coordinator 7. Office Security/Safety -- Dick write a memo to City Administrator requesting a security review in all City buildings. 8. Train the Trainer -- Send one or more committee members to a seminar or class on a particular subject or topic; the trainer will present the material to City employees. 9. Lock Out/Tag Out Program -- Sub - Committee with Eldon as Leader • Written Policy • Written Procedure • Mmaintain Records 10. First Aid Kits /Supplies -- Departmental -- John will do inspections 11. Review Orientation Video -- Sub - Committee 0 1997 MONTHLY SAFETY MEETINGS CITY CENTER TENTATIVE SCHEDULE 11 JANUARY Right to Know FEBRUARY Winter Safety MARCH Back Safety APRIL Office Safety MAY Fire Prevention and Safety JUNE Work Place Stress JULY Office Ergonomics AUGUST Heat Stress SEPTEMBER Lift it Right OCTOBER Electrical Safety NOVEMBER Slips, Trips and Falls DECEMBER ?? 40 I N T E R MEMO O F F I C E To: Gary Plotz From: Richard Nagy / Employee Safety Committee Subject: Employee Personal Safety Date: January 23, 1997 At our last employee safety committee there was discussion on the statistics stating that the leading work related death / injury in the workplace now are women at the workplace. These are mainly attributed to violence in the workplace, be it assault, robberies domestic violence, harassment, etc. After some discussion in the committee there was a consensus that while statistically our employees are relatively safe from violence on the job there are some situations in the City that pose a potential risk, particularly with some of the clerical and administration staff. These would be the staff who are responsible for the handling of large sums of money, such as Park and Rec, City Center, and staff who are confronted by irate and sometimes irrational public. It is the request of the employee safety committee that you would consider discussing this matter with the City Directors and possibly discuss and evaluate the potential risks or problems with staff. While the employee safety certainly has no expertise to actually address this issue, we would welcome the chance to participate in the process if asked. If you have any questions or comments on this matter, myself or the committee would be happy to meet with you. cc: Hazel Sitz LEfnployee Safety Committee Members 0 C] • 0 State Representative Bob Ness 269 State Office Building, 100 Constitution Ave., St. Paul, MN 55155 (612) 2964344 NEWS RELEASE For Immediate Release February 6, 1997 GAMBLING CONTINUES TO INCREASE IN OUR COMMUNITIES ST. PAUL -- State Representative Bob Ness (R- Dassel) today released 1996 lottery figures for communities in District 20A. Ness said he is frequently asked questions about • gambling, such as how much money goes to the state treasury, do the people in District 20A see any return of gambling proceeds to our area, and how come we cannot share in the profits of Indian casino gambling. "People are increasingly expressing concerns about compulsive or addictive gambling and the cost to society. As you can tell by these figures, gambling continues to increase in our communities," Ness said. Money spent on various forms of gambling show that lottery proceeds In 19% in our area were again up from last year. These numbers help answer questions about where the money goes and how much is spent on the lottery, including the Powerball, Gopher 5, Daily 3 and instant scratch -off tickets. These figures do not include wagering on charitable gaming, raffles, tip- boards, paddle wheels, bingo or money people may spend at the 17 casinos in our state. Statewide, sales in 1996 totaled $376 million, an 11.8 increase from 1995. The Environment and Natural Resources Trust Fund received $25.9 million in proceeds and unclaimed prize contributions. The General Fund received $39.4 million In net proceeds, unclaimed prizes and compulsive gambling contributions. An additional $24.4 million was also transferred to the General Fund in- lieu -of sales tax. From the inception of the Lottery In 1990, the Lottery has returned over $552 million to the State of Minnesota. • Ness said lottery sales In District 20A were $3,025,763, a 20 percent Increase from 1995. Of these sales, $2,421,836 represent instant (scratch -off) tickets while numbers games account for $603,927. The Environment Trust Fund received $208,475 from Meeker and McLeod counties. The • state general fund received $317,100 and sales tax at 6.5 percent or $196,675. The 38 businesses serving as lottery retailers in District 20A earned $160, 365 in co and Incentives. Ness said Minnesota State Lottery wagering is small in comparison with the estimated $4 billion wagered annually at Indian casinos in Minnesota or the $1.5 billion wagered by people on charitable gaming such as pull-tabs, raffles, bingo, tip -board and paddle wheels. Ness said Indian gaming has increased in popularity. However, because of sovereign nation status and the compact with the state, the state is unable to tape Into any of the profits from the casinos. "Admittedly, there are many related economic benefits to the economy and employment, but questions are always raised on the merit of the trade -offs and cost to the taxpayer," Ness added. Below is a breakdown of money spent on the lottery in our area communities: CITY Number Total Total Retail Prize *Revenue to 'Revenue to to State of Sales Sales Commis- Redemp- Environmental General (from E Retailers (1995) (1996) sions tion Trust Fund Fund Goner Cokato 1 141,418 162,721 8,136 78,803 11,390 27,663 39,053 Cosmos 2 139,204 161,201 8,060 89,531 11,284 27,404 38,688 Darwin 2 76,990 83,382 4,169 47,280 5,837 14,175 20,012 Dassel 3 159,989 135,962 6,798 66 549 9 23,113 32,631 Eden Valley 3 151,102 139,098 6,955 72,321 9,737 23,674 33,384 Hutchinson 17 1,452,424 1,684,822 84,241 859,408 117,938 286,420 404,357 Litchfield 9 766,181 822,398 41,120 426,074 57,568 139,808 197,376 Watkins 4 140,815 160,102 8,005 86,597 11,207 27,21�38,424 "While serving in the Minnesota House of Representatives, I have heard that people are stretched for money every day but yet are gambling numbers continue to rise," Ness said. "I find the increase in gambling an alarming trend." Area residents are encouraged to contact Ness with questions or comments on gambling • or other legislative issues. Rep. Ness can be reached at 289 State Office Building, 100 Constitution Avenue, St. Paul, MN 55155 -1298; tel: (612) 296 -4344. ri House Committee approves measure to keep minors from lighting up The bill would not pre -empt local ordinances Joel Jamnik The House Commerce Committee approved a bill on January 30 that would require all tobacco vendors to be licensed, either by cities or, if cities choose not to regulate, then by counties. H.F. 117, co-authored by Representatives Ann Rest (DFL -New Hope) and Kevin Goodno (R- Moorhead) would establish a mini- mum level of regulation and would then rely on local ordinances to meet or exceed the law. second Gunther amendment deleted a section of the bill that would have outlawed slotting fees for retailers. Tobacco distributors often pay a special slot fee to grocers in exchange for placing their products in prime store locations. The Committee also approved an amendment offered by Representative Dan McElroy (R- Bumsville) that would require local governments to notify retailers that an ordinance is being considered in their community. Retailers would have to receive notice 30 days prior to the heating and the notice would have to include the date, time and place of the hearing and the content of the proposed ordinance. Finally, Representative Peggy Leppik (R- Golden Valley) authored an amendment reducing the required number of annual compliance checks from two each year to one. Additionally, the committee rejected two proposed amendments. The first, authored by Representative Marty Seifert (R- Marshall), would have imposed an administrative penalty of $50 on minors who attempt to purchase tobacco, or are able to purchase or possess tobacco. Another amendment, authored by Representa- tive Doug Reuter (R- Owatonna), would have deleted the portion of the bill that bans self- service displays of tobacco products. The amendment proposed that tobacco remain within plain view of a sales clerk as opposed to requiring face -to -face interaction with a clerk in order to purchase tobacco. Voting for final passage were Representatives Tunheim (Chair), Hasskamp (Vice Chair), Boudreau, Bradley, Commers, Daggett, Dom, Entenza, Erhardt, Farrell, Gunther, Juhnke, Kinkel, Leppik, McElroy, Nomes, Pugh, Reuter, Sekhon, and Slawik. Representatives Tomassoni, Milbert, Rifenberg, and Seifert voted against final passage of the bill. Representative Paymer was absent. Ir Linder an amendment offered by Representative Jim Tunheim (DFL- Kennedy) a city would have the option of regulating tobacco sales and would be allowed to enact regulations stronger than those outlined in the bill. The bill would require license fees for tobacco retailers sufficient to pay for administration and enforce- ment, specify penalties for selling tobacco to minors, require the licensing authority to conduct compliance checks, and ban self - service displays and vending machines. Prior Lake Police Chief Richard Powell, and St. Louis Park City Councilmember Ron Latz, testified in support of the bill. Judy Cook of Minnesota Retail Merchants Associa- tion and Nancy Christianson of the Minnesota Grocer's Association spoke in opposition to parts of the bill. The Commerce Committee also adopted four other amendments to the bill. Representative Bob Gunther (R- Fairmont) successfully offered two amendments. The first would reduce the fines for selling tobacco to minors from at least $100 on the first offense to $50. The fines for a second offense was reduced from $250 to $150.. The State surplus grows again The state's general fund surplus grew by another $81.5 million during November and December of last year. According to a Department of Finance economic update, general fund revenues were 5.3 percent higher for the last two months than what was predicted in the November budget forecast. Most of the increase ($75 million) came from higher than anticipated individual income tax receipts. The update stated that as much as $45 million of the increase could be early tax payments which would otherwise have been made in 1997, not new tax revenues. Even if this is the case, the surplus will have increased by at least $36.5 million for fiscal year 1997. To put the increase in perspective, it equals about four times the amount which the Governor has recommended be cut from the Local Government Aid program for 1998. Ir February 5, 1997 Page 3 FEB 07 '97 IL M 0 r1 U 04 :02PM LEAGUE OF rri CITIES P.1 FRIDA YFAX Vol. 2, No. 5 A weekly legislative update from the League of Minnesota Cities February 7, 1997 Snow removal bills plow through committee The proposal to provide state aid to local governments for snow removal expenses moved out of the Senate Transportation Finance Committee, and will come before the House Judiciary Finance Committee next Thursday. The League testified before the Senate Committee in support of state financial assistance, as did the Township and County associations. The bill (authored by Senator Jim Vickerman) continues to evolve and grow. The original concept was to provide state supplemental assistance to the 40 counties covered by the Presiden- tial disaster declaration, and any other eligible areas added to the declaration through subsequent developments. Governor Arne Carlson proposed $20 million in his budget. It was believed that amount would be more than sufficient to meet those costs, with the excess set aside for the . contingencies" of spring flooding or early snowfall next winter. In light of survey information provided by local governments to the Division of Emergency Man- agement (OEM) showing signifi- cant costs in 1996 as well as in January 1997, the bill was amended in three ways. First, there would be a 1996 element. Second, a January 1997 disaster supplement would expand beyond the initial 40 counties. Third, an unspecified amount would be held as a ready reserve for spring flooding and end of 1997 emergencies. While the program details continue to be worked out, it is already clear that more than $20 million will be needed. As of February 4, 552 cities had re- sponded to the DEM survey (64 percent) indicating an $18 million shortfall for 1996, and a large portion of an estimated $28 million disaster total. The total program costs now are estimated to exceed $60 million in addition to the federal disaster aid. We'll provide more information on the survey results in next week's Bulletin. Cities that haven't returned their survey should do so Monday. Without a survey response, the state will assume that aid for your dry is unnecessary. Committees to look at TIF Committees in both the Sen- ate and House will take up the Subject of tax increment financing next week. The Senate Property Tax & Local Government Budget Committee will meet on Monday, February 10, at 2 p.m. The House Property Tax & Tax Increment Financing Committee meeting is scheduled for Wednesday, Febru- ary 12, at 8 a.m. Both committees will hear from the Legislative Auditor's office on TIF. House committee members have asked city and county groups to present their positions on tax increment financing. Anyone who is interested in learning more about how the TIF issue will play in the 1997 session is welcome and encouraged to attend these meetings. Please contact Andrea Atherton at (612) 281 -1258 if you have any questions. House passes youth access bill The House passed HF 117 (Rest) on Thursday evening which re- quires licensure of all tobacco vendors in Minnesota. The House Com- merce Committee had amended the original bill last week. Additional amendments were approved on the floor yesterday. In committee, Representative Rest amended the bill at our request to remove the mandate that cities license city vendors, and counties license non -city vendors. As amended, counties will license all vendors that cities or towns don't. In short, there will be no city mandate but, if we choose to license vendors, the county won't. The retailers did well on the floor. They were successful in removing the proposed ban on self- service displays (70 -64) and the mandatory annual sting or compliance check. All that remains is the basic require- ment for every vendor to have a local license. The Senate has yet to begin working on its version of the bill. For more inform rdon on city legMarlve issues, contfrel any member ojrbe Lcagaa ofMinnesata Cities Awgoverntnentol Relwionr team • 103/97 • •5.08 PM Final ASSETS Cuirent Assets 1 Cash and imes9nents - Operatlom 2 Cash and investments - Self- Insured 3 Subtotal rash 8lnvesUnents 4 PatienVNesidert receivables 5 Allowances for bad debts 6 Advances and conVadual allowances 7 Net palienUresidem and tNrdiady 8 payor receivables 9 10 Other receivables - net 11 Inventories 12 Prepaid expenses 13 Total Current Assets 14 Board Desimated/Funded Deoreciallon Investments 15 Inveslmeml In John[ Ventures Plant Assets 18 Land 17 Buildings 18 Accumulated depreciation 19 BuAditgs less depredation 20 Equipment 21 Accumulaled depreciation 22 Equipment less depredation 23 Cashu lRxckn d equlprnent 24 Construdion In progress 25 Total Plant Assets Other Assets 26 Deferred financing costs 27 Total Funds HUTCHINSON AREA HEALTH CARE Compara0ve Balance Sheet As of December 31, 1996 (A) (B) (A) - (B) DECEMBER NOVEMBER DECEMBER Charge 1996 1996 1995 CY vs PY $3.494,903 $3,572,279 $2,929,932 564,971 1,189 473 1,156,506 1,098.500 90,973 $4.684.376 $4,728,785 $4,028,432 655,944 5.689,991 6,272,221 6,096,146 (406,155) (684,101) (915,794) (659,854) (224,248) (1,177,976) (1,552,665) (1,371,031) 193,055 $3,627,914 $3,803,762 $4.065.262 ($437,348) 31,405 138,004 72,573 (41,167) 426,314 507,643 441.278 (14,964) 48,776 74,784 56,537 (9,761) $8,818,784 $9,250 $8,666.080 $152,703 $5,835,494 $5,347,662 $7,589,757 $2,245,737 $108,984 $58,984 $50,000 $58,984 $165,696 $165,696 $165,696 $0 LIABILITIES AND FUND BALANCES Current Liabilities Currenl maladies of Long term debt Accounts payable - trade Estimated contractual witlenents -r1M Accrued expenses - Salaries PTO Interest Sell - Insured progranm MN Care tax payable Deferred liabilities Deferred ievemte Total C191ml Llah hes 17,932,339 17,755,945 17,674,257 258,082 (8,204,087) (6,233,838) (5,818,562) (667,525) Long term Debt (less current $11,648.252 $11,522,107 $12,057,695 ($409,443) malunties) 9,158,811 9,076,830 8,591,737 567,075 (0,447,477) (6783,740) (5,696,963) (750,514) $2,711734 $2693,090 $2,894,774 ($183,439) 0 0 0 0 48,576 207,639 11,692 30,884 $14,573,659 $14,508,533 $15,129,657 _ ($555,990) Fund balance $250,722 $252,597 $273,231 ($22,509) $29,5117,842 $29,498,754 $27,708,924 $1 .8 7 0,918 ) Total Funds (A) (BI (A) -(B) DECEMBER NOVEMBER DECEMBER Charge 1998 1996 1995 CY vs PY $596,727 $596,716 $574.595 $22,132 1,424,430 1,240,295 882,190 542,240 904.981 1,134,253 1,213,751 (308,770) 416,540 366,230 329,903 86,838 843,014 854,176 750,075 92,939 325,430 241,343 334,709 (9,279) 618.471 819,302 704,307 (65,836) 50,000 61,620 60,000 (10,000) 51,230 51.230 52.246 (1,018) 11,812 16,270 4,627 7.185 $5.242,635 $5,381,434 $4.9M,403 $338.233 ' $12,638,675 $12,637,786 $13,243,283 1 ($604.588) $11,706,532 $11,479,535 $9,559,259 1 $2,147,274 ) $29,587,842 $29.498,754 $2 7,708.924 $1,878.918 FYtshmll Pam Larson 0 1 Winn NH 1lerrr Cre Acoorb Pool" Suenry • • 1/71707 t 11:3) AM McesnberM M 66 msebr• Odmr'% SOMMAW96 An" Ju196 fur 96 /WIC: M Check Pm 1,159,75055 1,115,37937 1,357,50154 (217,39652 1,3763971 IA17.070.9 1.117,06509 IIC11 Mrew Checks 7.606.16 77500 10.07000 74600 73.7510D 000 7.60550 BA6•Ml Mrrel Checks 7369 1000 5966 131.75 77.33 7673 7665 IoW I ICI I 1 BAM1 AP Checks 1,167,63760 1,115,61/,77 1,307,56127 1217,719,77 1,316,73967 1.017.079.11 1. 114.769 WN Trews "WW)'. Pr(,4 V*ss 666490.06 966.96337 677.307.49 660. 071.99 657,760.10 677,090.05 6$1.14906 Burl Pgwrt W9M 0.00 om 777,116.63 0.00 0.00 0.00 0.00 Onr Mhw 70.663.60 f0,101A0 UW12 30117.66 7679Ill 77,611.00 2-IM .70 lr TOW Me 7rrns ,0�. VMS, —�+.� W3.C1.19 T"CSA OW – Z171,776.19 7111.663.69 7,777.7 1.976.281.11 2024 -IM a 1,707.76319 1.767,77 YYr -BOW,k T, "s 0.00 000 0.00 000 0.00 0.00 0.00 I lU' 1 1 r 1 P:796Lr8s11APSUMM. %LS C W en 11111an 1123707 5.07 PM • HUTCI IINSON ARE TI I CARE • Plot Statement of Reve d Expenses Monlh and Period Ended December 31, 19% CURRENT MONTH YEAR -TO -DATE YEAR -TO -DATE Over (Under) Budget Over (Under) Budget Revenue Aclual Budget Dollars Percent Actual Budget Dollars Percent Dec -95 1 In patient revenue $424322 $456,993 (332,671) -7.1% $5,876,288 36.005,583 ($129,295) -22% $5351.9D6 2 AncuAary services 632,964 856,165 (223,202) -261% 8,613,485 10.621,100 (1,807,615) -17.0% 8,246,419 3 Total in patient revenue $1,057.285 $1.313,158 (5255,873) -195% $14,689,773 $16,626,683 ($1,936,909) -116% $13,598,325 4 Out palienl revenue 1416,326 1,433.076 (16,748) -12% 17,574,465 17,728.591 (154,127) 49% 14431,672 5 Resident Revenue 378,206 401,071 (22,865) -5.7% 4,546,216 4,544,985 1,231 0.0% 4,513,492 6 Total palmnUresidenl revenue $2851820 $3,147305 ($295,485) -94% $36810453 $38900,259 ($2,089,806) -54% $32,543489 Discounts 7 Governmental& Policy Distant 743,215 1,102,559 (359,344) -326% 11,128,441 13,768,521 (2.640,086) -19.2% 9,441,037 8 Free Care 1,679 8,091 (6,411) -792% 38,578 100,000 (61.422) -61.4% 22,265 9 Total deduction fiom revenue $744894 $1,110,649 ($365,755) -329% $11,167019 $13,868,527 ($2,701,508) -80.6% $9,463,302 10 Nei patiengtesiderg revenue $2,106928 $2,036,656 $70,270 3.5% $25,643,434 $25,071,732 $611,702 2.4% $23.080.187 11 Other Operating revenues 9,829 - 35$31 (25.702) -72.3% 147,860 157,850 (9,990) -6.3% 168,548 12 Nei operating revenue $2,116,755 52.072, 187 ' $44,568 22% $25,791,294 $25,189.582 $601,712 24% $23,248,735 Expenses 13 Salaries $1,001617 $906.972 594645 10,4% $11,549,587 $11,111,904 $437,683 3.9% $10,569,499 14 Employee Benefits 87,633. (121.818) -58.2% 2,310.336 2,556,197 (245,861) -9.6% 2,168,943 15 Professional Fees 207,532 _209,450 83,598 123,934 148.2 1,306,168 1,044,496 261,672 25.1% 951,706 16 Medical Fees 130,630 113,701 16.929 14.9% 1,454363 1339,856 114.507 85% 1.325,824 17 Willies, Mtoce Caltracls & Repairs 115,911 100,221 15,690 15 7% 1,203.011 1,170,630 33,281 2.8% 965,337 18 Food. Dugs & Supplies 355,647 280,814 74,833 26.6% 3,430,238 3,387 059 43,179 1.3% 3,023,988 19 Other expense 107,943 85,949 21,994 25.6% 850,856 957,365 (106,509) -11.1% 718,066 20 Minnesota Care 9.515 16,050 (6,535) -40.7% 198,598 192,633 5,965 3.1% 187,159 21 Bad debt 37,835 33,397 4.438 13.3% 373,252 412,783 (39,531) -9.6% 337,884 22 Interest 62,641 62,561 80 01% 765.268 765,529 (2611 0.0% 794,235 23 Deprecialion 106,618 115.273 (8655) -75% 1,302035 1,341,246 (39,211) -2,9% 1,321.128 24 Total expenses $2,227521 $2,007,987 $215,535 107% $24,744,611 $24,279,697 $464,914 1.9% $22,363.767 Excess of nel operating revenue 25 over(under) operating expenses ($106,766) $64,200 ($170,966) - 266.3% $1,046,683 $909,885 $136,798 15.0% $884,968 Nonoperaling Revenues 26 Investmert income $22,964 $36,497 ($13,533) .371% $459,684 $437.964 $21,720 50% $533.124 27 Other nonoperalirg revenue (net) (8,012) (4,246) (3.766) 88.7% (94.014) (51,460) (42.554) 827% (313,587) 28 Total rgnoparaling revenue $14.952 $32,251 ($17,299) -536% 5365,670 $386,504 ($20.834) -5.4% $219,537 9a Prior Period Adjustments 0 0 0 0.0% 717,586 0 717,586 00% 0 9b Net intone (01,814) j $9645 ($188.265 -1952% $2,129,939 $1,296,389 $833,5 64.3% $1,104, 30 Patient days 693 677 16 2.4% 9,086 8,888 198 2.2% 8.707 31 Resident days 3,768 3.827 (59) -1.5% 44,667 45.070 (403) .0.9% 45.208 32 Out patient services 2.750 3,928 -1,178 -30.0% 44,160 46,001 -1,841 -4.0% 43,862 33 Percent occupancy - budget beds - I Iospital 37.3% 41.3% 40% -9.7% 41.4% 45.5% -4.1% -9.0% 39.8% 34 Percent occ pan y- tudpel bads - Nursing Home 95.7% 97.2% .1.5% A 5% 96.1% 97.0% -0.9% -0.9% 975% 35 FTE's 373.5 357.6 15.9 4.4% 369.6 357.6 12.0 34% 355.6 36 Admissions (adjusted) - Ilosptal only 444 424 21 4,9% 5,236 4.956 280 5.6% 5,008 37 Expenses (net) per admission (adjusted) - Hospital only 3,877 3,631 246 6.8% 3,677 3,821 (144) -18% 3,481 38 Revenue per admission (adjusted) - Ilospdal only 5,422 6,283 (861) - 13.7% 8,028 6,734 (706) -10.5% - 5,559 39 Net Revenue per admission (adjusted) - Itosplal only 3.793 3,735 59 1.6% 3,943 4,008 (65) -1.6% 3,687 40 Discounts as a pen i nl of revenues 26.1% 35.3% -9.2% -26.0% 30.3 35 7% -5.3% -14,9% 29.1% 41 FTE's per 100 admissions (adjusted) - I Iosplal only 4.6 4.8 -0.1 -2.3% 4.8 4.9 -0.1 .2.4% 4.8 42 Days in Net Accounts Receivable 47.7 55.0 -7.3 -13.3% 612 43 Case Mix - Home orgy 247 2.40 007 2.9% 2.41 2.40 0.01 04% 242 Finatmnt Pam Larson 0 0 0 1/22/97 HUTCHINSON U71L(TIES CrWIISSION BALANCE SHEET DECEMBER' 31, 1996 PAGE 1 r K ** TOTAL r r r r UTILITY PLANT - AT COST LAND 6 LAND RIGHTS D EPRECIA BLE UTI LITY PLANT TOTAL UTILITY RANT LESS ACCUMULATED D TOTAL ACCUMULATED DEPRECIATION TOTAL CONSTRUCTION IN PROGRESS TOTAL UTILITY PLANT DEPREC VALUE 53,943,810.42 (19,019,198.52) L: 34,924,611.90 S9i.734.75 RESTRICTED FUNDS 8 ACCOUNTS INVESTMENT - GAS RESERVES 758,426.55 MEDICAL INSURANCE '100,000.00 BOND 8 INTEREST PAYMENT 1993 143,574.75 BOND RESERVE - 1993 1,389,320.00 CATASTROPHIC FAILURE FUND _ 7= 0, 000.00 __ TOTAL RESTRICTED FUNDS 6 ACCOUNTS 3,141,321.30 CURRENT 8 ACCRUED AS SETS CASH IN BAN( 1,839,636.29 INVESTMENTS 6 SAVINGS ACCOUNTS 649,322.27 ACCOUNTS RECEIVABLE 2,180,2i5.22 INVENTORIES 842,795.54 PREPAID INSURANCE 37,471.02 MISC - ACCOUNTS RECEIVABLE _ _2 . 4 1 ,374.34 TOTAL CURRENT 6 ACCRUED ASSETS 5,573,814.68 DEFERRED CHARGE BOND DISCOUNT 1993 TOTAL DEFERRED CHARGE 150,191.03 150,191.03 1/22/97 HUTCHINSON UTILI - iIE3 COMhISSION BALANCE SHEET DECEMBER 31, 1996 PAGE 2 w r u it TOTAL w w r w MUNICIPAL EQUITY & LIABILITIES _ MUNICIPAL EQUITY MUNICIPAL EQUITY UNAPPROPRIATED RETAINED E ARNINGS _ TOTAL MUNICIPAL EQUITY 28,894,611.41 29,941,587.06 LONG TERM LIABILITIES —NET OF _ CURRENT MATURITIES 1993 BONDS 12,250,000.00 CONSTR CONTRACTS & ACCTS PAY RETAIN ACCRUED EXPENSES — RETAINAGE as aoe eo ACCOUNTS PAYABLE 1,017,204.88 INTEREST ACCRUED 55,332.45 " ACCRUED PAYROLL 54,560.$9 _ .e ACCRUED VACATION PAYABLE 150,332.53 ACCRUED MEDICAL FUND 98,856.96 ACCRUED REC PAYMENT 2,19 CUSTOMER DEPOSITS _ 83,545.00 OTHER CURRENT 6 ACCRUED LIABILITIES 36,324.64 TOTAL CURRENT 8 ACCRUED LIAB _ 1,4 _ TOTAL MUNICIPAL EQUITY 6 LIAB 43,789,938.91 1/22/97 F� UI.:LFTILS (.UMMISS:O)! PAGE 1 STA "fEMENT OF d EXPENSES DECEMBEHo19915 • PREVIOUS CURRENT BUDGETED BUDGET ANNUAL - YEAR TO DATE YEAR TO DATE YEAR TO DATE DEVIATION BUDGET -- INCOME STATEMENT OPERATING REVENUE SALES - ELECTRIC ENERGY SALES FOR RESALE NET INCOME FROM OTHER SOURCES SECURITY LIGHTS POLE RENTAL SALES -GAS TOTAL OPERATING REVENUE _ OPERATING EXPENSES 11,122,931.28 40,686.00 45,451.00 11,697.50 1,293.25 5, 07 0, 660.07 16,292,723.10 11,132,965.92 346,073.00 56 12,878.50 3,067.75 5 ,893,6 17. 93 17,444,896.14 11,000,000.00 100,000.00 54,000.00 14,000.00 4,000.00 5 16,772,000.00 132,965.92 246,073.00 2,29:$.04--- (1,121.59) (932.25) ?93,617.93____5,600,00Q.Q0 672,896.14 111000 000 00 v i00,000.00 __._ 14,000.00 4,000.00 _ _ r 16,772,000.00 , _ r PRODUCTION OPERATION 1,105,620.70 1,057,612.55 1,160,015.00 ________ 102,402.45 1,160,015.00 J PRODUCTION MAINTENANCE 259,916.62 674,508.18 303,500.00 (371,008.18) 303,500.00 PURCHASED POWER 3,631,192.72 2 ,880,947.35 2,099 (7 81, 297�3.Z_. — 2, 049, 65Q OA 7 TRANSMISSION OPERATION 95.82 _ .00 3,400.00 3,498.00 3,400.00 TRANSMISSION MAINTENANCE 13,279.18 21,771.15 29,000.00 7,225.83 29,000.00 ELECTRIC DISTRIHUTIW! OPERATION 231,588.03 215,3 217, 3 6 ,1.9.46 - __._.._212, 099. ELECTRIC DISTRIBUTION MAINTENANCE 157,735.34 176,954.14 150,900.00 (26,054.14) 150, 900.00 MFG GAS PRODUCTION OPERATION 4,661.54 3,211.37 1,000.00 (2.211.37) 1,000.00 MFG GAS PRODUCTION MAINTENANCE 703.7 972. 2,000.00 1,027.88 2,000.00 PURCHASED GAS EXPENSE 7,078,937.18 7,443,474.76 7,960,790.00 517,315.24 7,960,790.00 GAS DISTRIBUTION OPERATION 233,779.56 222,786.27 226,000.00 3,213.73 226,000.00 ..� GAS DISTRIBUTION MAINTENANCE 34,900.48 45, _ 49, ___ 3 _. 4 9,1".09- CUSTOMER ACCOUNTING 6 COLLECTIONS 205,938.39 205,260.62 198,800.00 (6,460.62) 198,800.00 ADMINISTRATIVE 6 GENERAL EXPENSES 1,542,107.59 1,316,415.43 1,473,056.00 156,640.57 1,473,056.00 a DEPRECIATION 1,452,427.70 1 ,452,420.00 1,7 90,000 .00 _ 337,,,,580. GO _ _1 790,000.00__. TOTAL OPERATING EXPENSES 15,952,884.58 15,717,557.52 15,664,511.00 (33,046.52) 15,664,311.00 L OPERATING INCOME 339,838.52 _1 - 1 ,107,4 99 .00 ¢19 1, 197, 489.09__ OTHER INCOME J OTHER - NET 75,398.87 90,896.03 1255 X 0 00.0 0 _ (26,10 125,000.007 INTEREST INCOME 201,824.79 213,641.48 210,000.00 3,641.48 219,900.09 MISC INCOME 85,890.88 59,077.14 28,700.00 30,377.14 28,700.00 GAIN ON DISPOSAL .00 _ .00 _ _1,_50 . _ . ,_ - _ (1,.7,09.00)__ _ 1.500_ :00 - -_ MISC INCOME - GAS 246,685.66 361,115.85 395,000.00 (33,884.15) 395,000.00 TOTAL OTHER INCOME 610,000.20 732,730.50 760,200.00 (27,469.50) 760,200.00 J ,a OTHER EXPENSES DEPLETION - GAS WELLS 106,479.00 .00 MISC EXPENSES 67, 991.92 _ 94,06 INTEREST EXPENSE 657,976.15 644,029.72 TOTAL OTHER EXPENSES 832,447.07 738,093.47 CONTRIBUTION TO CITY 675,000.00 675,000.09 TOTAL CONTRIBUTION TO CITY 675,@90.00 675,000.00 NON INCOME (897,446 (680,362.97) NET INCOME (55 _ _ 1 ,046,975.65 _ 125,000.00 125,000.00 125,000.08 72_,_000.00 ( 22 063.75) -- --" "- 72,900.00 640,875.90 (3,154.72) 640,875.90 837,875.00 99,781.53 837,875.00 675,000.00 .90 675,000.09 675,000.00 .00 675,000.00 (752,675.00) 72,312.03 - " - - -- (752,675.00) 354, 814.00 69 1161_.65 _ _ 354, 814.00