12-22-2006 HUCM
Regular Meeting
December 22,2006
Members present: President Craig Lenz; Vice President Don Walser; Secretary David
Wetterling; Commissioner Steven Cook; Commissioner Dwight Bordson; General
Manager Michael Kumm; Attorney Marc Sebora.
President Lenz called the meeting to order at 1 :00 pm.
Commissioner Cook requested changes in the minutes of the November 29, 2006
regular meeting. Changes are on the second page:
. paragraph four, fifth and sixth sentences, change to: 'Commissioner Cook asked
if we received wind and hydro power from MRES. GM Kumm responded that we
could buy wind but we are not in the right geographical region'. Eliminate the
sentence: "After discussion Commissioner Cook feels he has a better
understanding of the Big Stone II Project".
. paragraph seven, third sentence, change to: 'City will be asked to adopt a similar
resolution containing the same transfer formula.'
Vice President Walser made a motion to approve the minutes of the November 29,
2006 regular meeting noting the requested changes. Secretary Wetterling seconded the
motion and it passed unanimously.
Secretary Wetterling made a motion to approve the minutes of the December 14, 2006
special meeting. Commissioner Bordson seconded the motion and it passed
unanimously.
Commissioner Bordson asked about the payment to City of Hutchinson - IT Support.
Jan Sifferath explained this is a quarterly charge and it pays for Jackie Penke's salary.
He also asked about the payment to David, Kristi, Mark Ahlquist - Easement. GM
Kumm said this is part of the natural gas pipeline easement payment and that there are
only three parcels left to take care of. And he asked about the payment to Slurpy's
Backhoe Service - Land Leveling. John Webster explained this is for leveling the land
after the natural gas pipeline was installed.
Secretary Wetterling asked about the payment to Crow River Landscaping - Sod. Dave
Hunstad reported that we hired them to repair/seed customers back yards after we had
done digging to install underground service.
Commissioner Cook asked about the payment to Process & Technology Solution -
Programming Services. Jan said this is for our WINSTS and purchasing software. He
also asked Jan what class she was taking regarding the payment to DeVry Inc. Jan
explained the class is for Human Resource Management and she hopes to graduate a
year from now.
Vice President Walser asked about the payment to Celeritas Works LLC - CAER
Updates. John explained this is for emergency response training on the natural gas
side. He also asked about the payment to Apex Environmental Inc - Site Assessment
Report Prep. Steve Lancaster explained this is for underground testing where our
underground fuel tanks used to be.
President Lenz asked about the CIP funds. Approximately $27,000 is what's left over
from the program. It will be used at plant #1 to retrofit lighting to make it more energy
efficient. It was reported that no more money is going out to customers.
Secretary Wetterling made a motion to ratify the payment of bills in the amount of
$2,702,149.43 (detailed listing in payable book). Commissioner Cook seconded the
motion and it passed unanimously.
GM Kumm presented the financial statements/budget year-to-date. The cash flow is
doing extremely well. The benchmarks are very close to what was budgeted. Secretary
Wetterling made a motion to approve financial statements/budget year-to-date. Vice
President Walser seconded the motion and it passed unanimously.
Brenda Ewing, Human Resource Manager, presented the combined HUC/City safety
and health program. This has been adopted by the City Council at its November City
Council Meeting and now needs to be approved by HUC. Attorney Sebora will
incorporate a contractual safety compliance agreement into the program in order to
meet all of OSHA's requirements, if we hire contractors to do work on our projects. After
discussion, Commissioner Cook made a motion to approve the combined HUC/City
Safety and Health Program. Commissioner Bordson seconded the motion and it passed
unanimously.
The 2007 budget was presented for approval. Secretary Wetterling made a motion to
approve the 2007 budget. Commissioner Bordson seconded the motion and is passed
unanimously.
GM Kumm reported on the financial and operational benchmarks. Dave Hunstad and
Dan Lang helped write reliability measures so MMUA could develop the software for
APPA. The software reports outages greater than one minute (not planned outages).
SAIDI = System Average Interruption Duration Index
(Average interruption duration for customers served during a specific time peiod.)
CAIDI = Customer Average Interruption Duration Index
(Average length of an interruption, weighted by the number of customers affected, for
customers interrupted during a specific time period.)
SAIFI = System Average Interruption Frequency Index
(Average number of times that a customer is interrupted during a specific time period.)
President Lenz asked if it can report on the reasons for the outages. Dave said it can.
Commissioner Cook asked if there are measures in place to correct the problems for
the outages. Dave reported that this software monitors outages and collects data which
tells us where improvements need to be made.
Commissioner Cook asked about the return on net assets. GM Kumm reported that this
benchmark reflects if rates need to be adjusted. The current ratio shows we are building
cash. The debt to total assets shows us the trend is going in the correct direction. The
times interest earned measures the payment of interest on our debt. The total net
income is going up and possibly the rate stabilization fund will be full. If we can keep the
power cost adjustment clause and the fuel cost adjustment clause at zero, we might be
able to eliminate the fund.
John Webster presented the time diversity model for purchasing natural gas. He
reported we want to levelize the price, not necessarily beat it and he is very pleased
with how well the model is working. GM Kumm reported that we do have storage on the
pipeline and if gas is cheap enough, we can buy extra and store it or sell if off for a
profit. President Lenz asked how much can be stored. John explained that 27,000 Dth
can be stored at the interconnect pipe with Northern Border. If BP makes gas and
stores it on our pipe, we get 50% when it's sold. This is in the new marketing contract.
Requisition #002223 was presented for approval. This is 15 padmounted transformers
for inventory for projects in 2007. Commissioner Cook made a motion to approve
requisition #002223 to B & B Transformer, Inc. for 15 padmounted transformers.
Commissioner Bordson seconded the motion and it passed unanimously.
John Webster presented the 3M Firm Natural Gas Contract for approval. HUC has been
working on this with 3M for many months. Commissioner Cook asked what was in place
before this contract. We just had an agreement to keep it as is, even though there was
no written contract in place. Once this is approved by the Commission board it will be
forwarded to 3M. They will sign it, then it'll come back to the Commission for our
signature. Vice President Walser made a motion to approve the 3M firm natural gas
contract. Secretary Wetterling seconded the motion and it passed unanimously.
President Lenz asked how long the contract is for. John explained it's good for one year
and they had talked about an automatic extension, but because it took so long to arrive
at this contract, we didn't want to experience the same length of time to add language.
President Lenz asked that next time we consider a roll-over/extension clause as well as
an escape clause.
At the last commission meeting, Commissioner Cook mentioned that he has conflicts
with the date of our regular commissioner's meeting. GM Kumm looked into whether or
not there are any implications with the financials if we changed the meeting to the first
Wednesday of the month; there are not. The payment of bills are ratified at the
meetings. President Lenz asked if there would be a problem with the election of officers
if we changed the date. That is not a problem either. John Webster explained that the
bid opening for 'Installation and Retirement of Natural Gas Distribution Lines' is
scheduled for January 3, 2007 with approval going before the board at it's regularly
scheduled meeting on January 31, 2007. If there's no meeting in January, it will interfere
with the progress of the work on the Highway 7 project. Commissioner Cook made a
motion to change the regular monthly commission meetings to the first Wednesday of
the month at 3:00 p.m. starting with the March meeting, with no meeting in February.
Commissioner Bordson seconded the motion and it passed unanimously.
Division reports
Gas - John Webster
. Requisition #002317 presented for approval. Relocate line, remove plastic
pipe and install steel pipe instead of using temporary plastic pipe on top of
ground while reconstructing Highway 7. Secretary Wetterling made a
motion to approve requisition #002317 to Chicago Tube & Iron for 1,920'
of steel pipe. Commissioner Bordson seconded the motion and it passed
unanimously.
. Installed relief valves on the pipeline in Trimont, MN
Business - Jan Sifferath
. Auditors will be here the last week in January.
. Asked for authorization to allow GM Kumm to sign contract with AJ.
Galagher for the business insurance, when the paperwork arrives. A
motion was made by Commissioner Cook authorizing GM Kumm to sign
the business insurance forms. Secretary Wetterling seconded the motion
and it passed unanimously.
. President Lenz asked about the cost our auditors charge. Jan said it's
similar to last year - less than $15,000. Commissioner Cook asked if
using the City's firm would be cheaper. President Lenz asked if we had
gone out for bids. GM Kumm reported that we did not go out for bids.
President Lenz suggested going out for bids next year and that a fresh
pair of eyes sometimes is needed.
Electric - Steve Lancaster
. The lineman who was hired and in his 6-month probation period, has been
let go, we have that position open again.
President Lenz and Vice President Walser have completed GM Kumm's yearly review.
President Lenz mentioned that he's spent a great deal of time with Kumm and Lenz
feels Kumm has done an exceptionally good job. It's been a real eye opener to see how
much Kumm has accomplished since his arrival to HUC. A copy of the performance
review was presented to the Commissioners for their signatures.
GM Kumm said any credit should be given to the directors and the employees for
making it so easy for him to accomplish the tasks.
Commissioner Cook asked how Kumm's raise is related to the HUC compensation plan.
President Lenz explained that the review for the general manager deviates from the
current compensation plan. Vice President Walser added that published wage
information from other cities was taken into consideration when evaluating the general
managers' salary. Commissioner Cook asked if compared to the employees increase
using the current compensation plan, would GM Kumm get more of an increase.
President Lenz explained that he would not. Commissioner Cook asked if it's always
been the President and Vice President who have done the reviews. Could more
members be included even if it meant calling a closed/private meeting. Secretary
Wetterling made a motion to approve the proposed salary increase. Commissioner
Bordson seconded the motion and it passed unanimously. Commissioner Cook has
some questions on the performance review.
Legal Update:
Attorney Sebora reported that City Council approved the formula for the transfer
of funds.
Old Business
None
New Business
. Agenda for Joint Meeting on January 9, 2007:
GM Kumm said Commissioner Cook sent an e-mail adding eight more
items to the agenda. Commissioner Cook said he ran it by Gary Plotz and
they thought it would be good information for the other council members.
GM Kumm asked what he wanted discussed. Commissioner Cook
explained just an update on the items would be informative. Commissioner
Cook made a motion to approve the agenda for the joint meeting.
Commissioner Bordson seconded the motion and it passed unanimously.
. Commissioner Cook wants a better understanding of the approved health
insurance plan. He feels it should be the same for both plans and asks for
feedback from the other commissioners. Commissioner Cook feels that
20% of the total monthly premiums should be paid by all employees, not
just the union employees. Vice President Walser explained that there are
two categories of employees and we shouldn't expect the benefits to be
the same, since expectations of staff are substantially different than that of
the members in the bargaining unit. Commissioner Cook made a motion
for non-union employees to pay 20% of the total monthly premiums and
amend the approved contract. Motion dies for lack of a second.
Secretary Wetterling made a motion to adjourn the meeting at 3:18 p.m. Commissioner
Bordson seconded the motion and it passed unanimously.
Secretary,
ATTEST
President,
(70
Regular Meeting
December 22, 2006
Members present: President Craig Lenz; Vice President Don Walser; Secretary David
Wetterling; Commissioner Steven Cook; Commissioner Dwight Bordson; General
Manager Michael Kumm; Attorney Marc Sebora.
President Lenz called the meeting to order at 1:00 pm.
Commissioner Cook requested changes in the minutes of the November 29, 2006
regular meeting. Changes are on the second page:
• paragraph four, fifth and sixth sentences, change to: 'Commissioner Cook asked
if we received wind and hydro power from MRES. GM Kumm responded that we
could buy wind but we are not in the right geographical region'. Eliminate the
sentence: "After discussion Commissioner Cook feels he has a better
understanding of the Big Stone II Project ".
• paragraph seven, third sentence, change to: 'City will be asked to adopt a similar
resolution containing the same transfer formula.'
Vice President Walser made a motion to approve the minutes of the November 29,
2006 regular meeting noting the requested changes. Secretary Wetterling seconded the
motion and it passed unanimously.
Secretary Wetterling made a motion to approve the minutes of the December 14, 2006
special meeting. Commissioner Bordson seconded the motion and it passed
unanimously.
Commissioner Bordson asked about the payment to City of Hutchinson — IT Support.
Jan Sifferath explained this is a quarterly charge and it pays for Jackie Penke's salary.
He also asked about the payment to David, Kristi, Mark Ahlquist — Easement. GM
Kumm said this is part of the natural gas pipeline easement payment and that there are
only three parcels left to take care of. And he asked about the payment to Slurpy's
Backhoe Service — Land Leveling. John Webster explained this is for leveling the land
after the natural gas pipeline was installed.
Secretary Wetterling asked about the payment to Crow River Landscaping — Sod. Dave
Hunstad reported that we hired them to repair /seed customers back yards after we had
done digging to install underground service.
Commissioner Cook asked about the payment to Process & Technology Solution —
Programming Services. Jan said this is for our WINSTS and purchasing software. He
also asked Jan what class she was taking regarding the payment to DeVry Inc. Jan
explained the class is for Human Resource Management and she hopes to graduate a
year from now.
�J
Vice President Walser asked about the payment to Celeritas Works LLC — CAER
Updates. John explained this is for emergency response training on the natural gas
side. He also asked about the payment to Apex Environmental Inc — Site Assessment
Report Prep. Steve Lancaster explained this is for underground testing where our
underground fuel tanks used to be.
President Lenz asked about the CIP funds. Approximately $27,000 is what's left over
from the program. It will be used at plant #1 to retrofit lighting to make it more energy
efficient. It was reported that no more money is going out to customers.
Secretary Wetterling made a motion to ratify the payment of bills in the amount of
$2,702,149.43 (detailed listing in payable book). Commissioner Cook seconded the
motion and it passed unanimously.
GM Kumm presented the financial statements /budget year -to -date. The cash flow is
doing extremely well. The benchmarks are very close to what was budgeted. Secretary
Wetterling made a motion to approve financial statements /budget year -to -date. Vice
President Walser seconded the motion and it passed unanimously.
Brenda Ewing, Human Resource Manager, presented the combined HUC /City safety
and health program. This has been adopted by the City Council at its November City
Council Meeting and now needs to be approved by HUC. Attorney Sebora will
incorporate a contractual safety compliance agreement into the program in order to
meet all of OSHA's requirements, if we hire contractors to do work on our projects. After
discussion, Commissioner Cook made a motion to approve the combined HUC /City
Safety and Health Program. Commissioner Bordson seconded the motion and it passed
unanimously.
The 2007 budget was presented for approval. Secretary Wetterling made a motion to
approve the 2007 budget. Commissioner Bordson seconded the motion and is passed
unanimously.
GM Kumm reported on the financial and operational benchmarks. Dave Hunstad and
Dan Lang helped write reliability measures so MMUA could develop the software for
APPA. The software reports outages greater than one minute (not planned outages).
SAIDI = System Average Interruption Duration Index
(Average interruption duration for customers served during a specific time peiod.)
CAIDI = Customer Average Interruption Duration Index
(Average length of an interruption, weighted by the number of customers affected, for
customers interrupted during a specific time period.)
SAIFI = System Average Interruption Frequency Index
(Average number of times that a customer is interrupted during a specific time period.)
l�J
President Lenz asked if it can report on the reasons for the outages. Dave said it can.
Commissioner Cook asked if there are measures in place to correct the problems for
the outages. Dave reported that this software monitors outages and collects data which
tells us where improvements need to be made.
Commissioner Cook asked about the return on net assets. GM Kumm reported that this
benchmark reflects if rates need to be adjusted. The current ratio shows we are building
cash. The debt to total assets shows us the trend is going in the correct direction. The
times interest earned measures the payment of interest on our debt. The total net
income is going up and possibly the rate stabilization fund will be full. If we can keep the
power cost adjustment clause and the fuel cost adjustment clause at zero, we might be
able to eliminate the fund.
John Webster presented the time diversity model for purchasing natural gas. He
reported we want to levelize the price, not necessarily beat it and he is very pleased
with how well the model is working. GM Kumm reported that we do have storage on the
pipeline and if gas is cheap enough, we can buy extra and store it or sell if off for a
profit. President Lenz asked how much can be stored. John explained that 27,000 Dth
can be stored at the interconnect pipe with Northern Border. If BP makes gas and
stores it on our pipe, we get 50% when it's sold. This is in the new marketing contract.
Requisition #002223 was presented for approval. This is 15 padmounted transformers
for inventory for projects in 2007. Commissioner Cook made a motion to approve
requisition #002223 to B & B Transformer, Inc. for 15 padmounted transformers.
Commissioner Bordson seconded the motion and it passed unanimously.
John Webster presented the 3M Firm Natural Gas Contract for approval. HUC has been
working on this with 3M for many months. Commissioner Cook asked what was in place
before this contract. We just had an agreement to keep it as is, even though there was
no written contract in place. Once this is approved by the Commission board it will be
forwarded to 3M. They will sign it, then it'll come back to the Commission for our
signature. Vice President Walser made a motion to approve the 3M firm natural gas
contract. Secretary Wetterling seconded the motion and it passed unanimously.
President Lenz asked how long the contract is for. John explained it's good for one year
and they had talked about an automatic extension, but because it took so long to arrive
at this contract, we didn't want to experience the same length of time to add language.
President Lenz asked that next time we consider a roll- over /extension clause as well as
an escape clause.
At the last commission meeting, Commissioner Cook mentioned that he has conflicts
with the date of our regular commissioner's meeting. GM Kumm looked into whether or
not there are any implications with the financials if we changed the meeting to the first
Wednesday of the month; there are not. The payment of bills are ratified at the
meetings. President Lenz asked if there would be a problem with the election of officers
if we changed the date. That is not a problem either. John Webster explained that the
�a
J)
bid opening for 'Installation and Retirement of Natural Gas Distribution Lines' is
scheduled for January 3, 2007 with approval going before the board at it's regularly
scheduled meeting on January 31, 2007. If there's no meeting in January, it will interfere
with the progress of the work on the Highway 7 project. Commissioner Cook made a
motion to change the regular monthly commission meetings to the first Wednesday of
the month at 3:00 p.m. starting with the March meeting, with no meeting in February.
Commissioner Bordson seconded the motion and it passed unanimously.
Division reports
Gas — John Webster
• Requisition #002317 presented for approval. Relocate line, remove plastic
pipe and install steel pipe instead of using temporary plastic pipe on top of
ground while reconstructing Highway 7. Secretary Wetterling made a
motion to approve requisition #002317 to Chicago Tube & Iron for 1,920'
of steel pipe. Commissioner Bordson seconded the motion and it passed
unanimously.
• Installed relief valves on the pipeline in Trimont, MN
Business — Jan Sifferath
• Auditors will be here the last week in January.
• Asked for authorization to allow GM Kumm to sign contract with A.J.
Galagher for the business insurance, when the paperwork arrives. A
motion was made by Commissioner Cook authorizing GM Kumm to sign
the business insurance forms. Secretary Wetterling seconded the motion
and it passed unanimously.
• President Lenz asked about the cost our auditors charge. Jan said it's
similar to last year — less than $15,000. Commissioner Cook asked if
using the City's firm would be cheaper. President Lenz asked if we had
gone out for bids. GM Kumm reported that we did not go out for bids.
President Lenz suggested going out for bids next year and that a fresh
pair of eyes sometimes is needed.
Electric — Steve Lancaster
• The lineman who was hired and in his 6 -month probation period, has been
let go, we have that position open again.
President Lenz and Vice President Walser have completed GM Kumm's yearly review.
President Lenz mentioned that he's spent a great deal of time with Kumm and Lenz
feels Kumm has done an exceptionally good job. It's been a real eye opener to see how
much Kumm has accomplished since his arrival to HUC. A copy of the performance
review was presented to the Commissioners for their signatures.
GM Kumm said any credit should be given to the directors and the employees for
making it so easy for him to accomplish the tasks.
Commissioner Cook asked how Kumm's raise is related to the HUC compensation plan.
President Lenz explained that the review for the general manager deviates from the
current compensation plan. Vice President Walser added that published wage
information from other cities was taken into consideration when evaluating the general
managers' salary. Commissioner Cook asked if compared to the employees increase
using the current compensation plan, would GM Kumm get more of an increase.
President Lenz explained that he would not. Commissioner Cook asked if it's always
been the President and Vice President who have done the reviews. Could more
members be included even if it meant calling a closed /private meeting. Secretary
Wetterling made a motion to approve the proposed salary increase. Commissioner
Bordson seconded the motion and it passed unanimously. Commissioner Cook has
some questions on the performance review.
Legal Update:
Attorney Sebora reported that City Council approved the formula for the transfer
of funds.
Old Business
None
New Business
• Agenda for Joint Meeting on January 9, 2007:
GM Kumm said Commissioner Cook sent an e-mail adding eight more
items to the agenda. Commissioner Cook said he ran it by Gary Plotz and
they thought it would be good information for the other council members.
GM Kumm asked what he wanted discussed. Commissioner Cook
explained just an update on the items would be informative. Commissioner
Cook made a motion to approve the agenda for the joint meeting.
Commissioner Bordson seconded the motion and it passed unanimously.
• Commissioner Cook wants a better understanding of the approved health
insurance plan. He feels it should be the same for both plans and asks for
feedback from the other commissioners. Commissioner Cook feels that
20% of the total monthly premiums should be paid by all employees, not
just the union employees. Vice President Walser explained that there are
two categories of employees and we shouldn't expect the benefits to be
the same, since expectations of staff are substantially different than that of
the members in the bargaining unit. Commissioner Cook made a motion
for non -union employees to pay 20% of the total monthly premiums and
amend the approved contract. Motion dies for lack of a second.
I�
9C)
Secretary Wetterling made a motion to adjourn the meting at 3:18 p.m. Commissioner
Bordson seconded the motion and it passed unanimopsiy.
n
a 'd Wetterling, Secretary
ATTEST
aig Le r nt
1
Memorandum
TO: Hutchinson Utilities ommission
FROM: Brenda K. Ewing, H n Resources Director
RE: City of Hutchinson Hutchinson Utilities Commission Safety and Health
Program Document
DATE: November 20, 2006
Attached is the general Safety and Health Program document related to the combined City of
Hutchinson and Hutchinson Utilities Commission Employee Safety Program. The document
identifies the basic components of the Safety Program. This is the first in a number of safety
program related documents that will be presented to the City Council and Hutchinson Utilities
Commission for review and adoption. As a point of information, the Hutchinson City Council
did adopt the program document at its regular meeting on November 14, 2006.
Your consideration and adoption of the document is requested.
If you have any questions, I will be attending the November 29 Hutchinson Utilities Commission
meeting.
Encl.
r
SAFETY AND HEALTH
PROGRAM
City of Hutchinson
Hutchinson Utilities
I Commission
November /December 2006
OSHA /Safety Assistance 9/04
1`1 Model Program -
1
City of Hutchinson & Hutchinson Utilities Commission
Endorsement of Safety and Health Program
Department(s) Applicable
Approving Authority
Date Approved
City Center (Admin., Building Enf.,
EDA, Engineering, Finance, IT, Legal, Motor
Vehicle, Planning)
Hutchinson City Council
November 2006
Creek Side Compost
Hutchinson City Council
November 2006
Fire
Hutchinson City Council
November 2006
Liquor Hutch
Hutchinson City Council
November 2006
PRCE
Hutchinson City Council
November 2006
Police
Hutchinson City Council
November 2006
Public Works
Hutchinson City Council
November 2006
Water & Wastewater
Hutchinson City Council
November 2006
HUC (Admin., Business, Accounts)
Hutchinson Utilities Commission
December 2006
Electric Division
Hutchinson Utilities Commission
December 2006
Natural Gas Division
Hutchinson Utilities Commission
December 2006
Production Division
Hutchinson Utilities Commission
December 2006
LL:mc
OSHA/Safety Assistance 9/04
Model Program -
� IFICAP1
City of Hutchinson & Hutchinson Utilities Commission
Approval of Safety and Health Program
cu7s OSHA/Safety Assistance 9/04 /// RA16111 18
Model Program - / / / / (,
_Q
Steven W. Cook, Mayor
Gary D. Plotz, City Administrator
LCra,E�,, Hui- n H#ii' ' s Commission President
Michael Kumm, General Manager
cu7s OSHA/Safety Assistance 9/04 /// RA16111 18
Model Program - / / / / (,
I
VISION STATEMENT
The City of Hutchinson Safety Committee will provide a forum for
participation for all City employees.
The personal safety and health of each City employee and the public
is of primary importance and the prevention of occupationally induced
injuries and illnesses is our priority.
CL:mc
OSHA/Safety Assistance 9/04
Model Program -
Niivrf
1
MISSION STATEMENT
This Committee, with the support of all employees and elected and
appointed officials, is committed to providing a safe work
environment and to strive for zero accidents throughout the
workplace through policies, training, education and communication.
City of Hutchinson & Hutchinson Utilities Commission
Lu7sOSHA/Safety Assistance 9(04 //�//��/11I,I/, Model Program - RI VIR
�I
Commitment
"To provide each and every employee with a safe and healthy place of
employment."
Responsibilities
The City and Hutchinson Utilities shall:
1. Provide visible and financial support to the safety and health program.
2. Establish and communicate those policies, programs, procedures, and
practices necessary to protect employee safety and health.
3. Identify and communicate safety and health related goals and objectives.
4. Provide human and material resources necessary to implement and
manage safety and health related policies, programs, procedures, goals,
and objectives.
5 Assign accountability for the implementation of safety and health related
policies, programs, procedures, goals, and objectives.
6. Ensure that managers and supervisors observe all safety and health
related policies and procedures.
T� OSHA/Safety Assistance 9/04
,j /Ul /I.n
Model Program V�2VVIN
Membership and Rules Order
1. The safety committee shall consist of:
• An employee from each work unit (department).
• A first -line supervisor.
• A member of upper management.
• A non - voting technical advisor, as required.
2. Safety committee members shall serve indefinite terms.
• Employee representatives shall be appointed /elected by their
peers. Upon reorganization, employees shall be given the
opportunity to request to serve on the committee.
• First -line supervisors shall rotate terms on the safety committee.
3. The safety committee shall elect a chair person, a vice chair person, and
secretary.
4. The safety committee shall establish rules of order.
5. The safety committee shall establish and post goals and objectives.
6. The safety committee shall hold monthly meetings.
• Meeting dates and agendas shall be posted in advance.
7. The safety committee secretary shall take and post meeting minutes.
8. Safety committee minutes shall be maintained on file at City Center.
T �{ OSHA/Safety Assistance 9/04 /J��//� /�;I,
I� 7 Model Program - / INGI FF1I1
C'
11
�J
Implementation Tools
The safety committee shall:
1. Meet (and conduct associated functions) during normal working hours with
employees in pay status.
2. Be allocated adequate and appropriate funds per year for operating
expenses and completion of stated goals and objectives.
3. Be authorized to spend budgeted funds on safety and health related
improvements, with City /HUC approval.
Accountability
The safety committee shall prepare an annual report. The report shall be
submitted to the City and Hutchinson Utilities Commission and be posted for
employee review. The report shall include:
1. A summary of progress made in meeting stated goals and objectives.
2. An analysis of accidents and injuries (including close - calls) that identifies
recurrent hazards and means of prevention.
3. An analysis of safety inspections that identifies recurrent hazards and
means of prevention.
4. Specific recommendations for the elimination of work place safety and
health hazards.
5. Goals and objectives for the coming year.
LC
OSHA/Safety Assistance 9/04
Model Program -
N NivrIC
COMPLIANCE POLICY
`All personnel shall perform assigned work in accordance with
established safety and health related policies, procedures, and work
practices. Failure to observe safety and health related policies shall
result in disciplinary actions as per established polices and
agreements. "
CT �/( OSHA/Safety Assistance 9/04
7 7 Model Program -
1
COMPLIANCE POLICY
"Work place safety requires a team effort and is a shared
responsibility. All personnel shall be required to perform assigned
work in accordance with established safety and health related
policies, procedures, and work practices.
Compliance with safety and .health related policies, procedures, and
work practices shall be assessed during annual performance reviews
and shall be a factor in promotions and the assignment of other
benefits.
Serious and /or recurrent violations of established safety and health
related policies, procedures, and work practices shall result in
disciplinary action up to and including termination."
LMC
�y
OSHA/Safety Assistance 9/04
Model Program -
mill, 796IFF& 111111F.
1
r-
1. Personal Exposure Monitoring
Personal exposure monitoring shall be conducted to evaluate employee
exposure to work place hazards (e.g. noise and airborne contaminates) as
required by applicable regulations and work place hazards. Form. SP -7 (or
an equivalent) shall be used to record the results of personal exposure
monitoring.
The employee with whom personal exposure monitoring was
conducted shall be informed of the results as required by
applicable regulations.
• All affected managers, supervisors, and employees shall also be
informed of the results of personal exposure monitoring in
accordance with employee confide ^tia!Ity restrictions.
Human Resources shall maintain all employee personal exposure
records. Employees shall have access to their exposure records,
and upon request said records shall be released to the employee's
personal physician. Said records shall also be released to the
employee's designated representative in accordance with
applicable OSHA restrictions and procedures.
2. Occupational Medicine
Results from the occupational medicine program shall be used to evaluate
any potential adverse health effects from employee exposure to harmful
work environments and /or agents. Said determinations shall be made by
the occupational medicine physician and communicated to the City and
Hutchinson Utilities Commission in accordance with restrictions imposed
by patient/physician confidentiality.
Hazard assessments shall be conducted by a qualified individual (e.g. a person
who has, by extensive knowledge, training, and experience, successfully
demonstrated the ability to solve or resolve problems relating to the subject
matter, the work, or project) and shall directly involve work unit supervisors and
employees.
The results of hazard assessments shall be communicated to affected
managers, supervisors, and employees and the safety committee.
LC
OSHA/Safety Assistance 9/04
Model Program -
N, 15VIVII &I I
HAZARD ELIMINATION /CONTROL
Policy
Where practical and feasible safety and health hazards shall be eliminated rather
than controlled.
Implementation Tools
Four methods shall be used to correct work .place safety and health hazards.
Hazard Elimination
When practical and feasible, work place safety and health hazards shall
be eliminated by changing processes, materials, and /or procedures in lieu
of other control measures.
2. Engineering Controls
Effective engineering controls shall be the preferred method to control
safety and health hazards that can not be eliminated by changing
processes, materials, and /or procedures. Engineering controls 1
implemented by the City and Hutchinson Utilities Commission include, but i
may not be limited to:
• Ventilation and exhaust.
• Guards and barricades.
• Installation of sound absorbing materials.
• Interlocks and other safety devices. i
• Installation of enclosures /devices that isolate employees from
hazards.
• Redesigning of work stations /areas.
�j�/( OSHA/Safety Assistance 9/04 /��1/1/�,I�
{ 7 Model Program - N'PrIVI/1
3. Administrative Controls
Administrative controls shall be used to control work place safety and
health hazards when appropriate and feasible. Administrative controls
implemented by the City and Hutchinson Utilities Commission include, but
may not be limited to:
• Modifying work schedules to reduce employee exposure to toxic
materials and /or hot environments.
• Implementing safety and health related policies, procedures, and
work practices, including OSHA required safety and health
programs. Where applicable, OSHA required safety and health
programs implemented by the City and Hutchinson Utilities
Commission include, but may not be limited to:
Hazard Communication Program.
Personal Protective Equipment Procedures.
Respiratory Protection Program.
Hearing Conservation Program.
Hazardous Energy Control (Lockout/Tagout) Program.
Permit - Required Confined Spaces Program.
�. Fire Prevention /Emergency Action Plan.
Infection Control Plan.
II
I
LusOSHA/Safety Assistance 9/04 Model Program -
4
• Providing employees with, information and training ap, required by
applicable regulations, work place hazards, and employee job
duties. Employee information and training includes, but may not be
limited to:
Posted signs that warn employees of work place safety and
health hazards.
Material Safety Data Sheets (MSDS) available for hazardous
chemicals to which employees may be exposed.
=:> New employee safety training and instruction.
In service training of existing employees.
Job briefings.
=> Toolbox and tailgate safety talks.
Personal Protective Equipment
When safety and health hazards can not be eliminated or controlled by
other means, employees will be provided with and required to wear
suitable personal protective equipment. Personnel protective equipment
including, but not limited to, hardhats, protective eye wear, gloves, and
protective footwear shall be selected, inspected, used, and cared -for in
accordance with applicable regulations and the manufacture's
instructions. Personal protective equipment provided to employees
includes, but may not be limited to,
• Safety goggles
•
Gloves
• Ear plugs
• Hard hats
• Chaps
• Reflective vests
Employees shall be responsible for the proper inspection, use, and
maintenance of assigned personal protective equipment.
OSHA/Safety Assistance 9/04
h� Model Program -
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L
D
FACILITY MAINTENANCE
Policy
Scheduled maintenance shall be used so far as practical and feasible to insure the
safety, reliability, and availability of structures, equipment, and vehicles.
Implementation Tools
Facility Maintenance
Structures, equipment, and vehicles shall be inspected and maintained in
accordance with applicable regulations, codes, and manufacturer's
instructions.
1
It is the goal of the City and Hutchinson Utilities Commission to maintain
structures, equipment, and vehicles through scheduled .and planned
maintenance. To facilitate planned maintenance and the reporting of items in
need of repair the City and Hutchinson Utilities Commission have established
work order systems.
I'
All personnel shall use the systems to report items in need of maintenance or
repair.
Maintenance and inspection records shall be maintained on file as require
by applicable regulations. I
All replacement equipment and parts shall meet or exceed OM (original
manufacture's) specifications.
2. Housekeeping
Maintaining a clean and sanitary work place is a shared responsibility and
requires a team effort. To accomplish this goal, housekeeping procedures
and assignments have been established. Housekeeping procedures and
assignments shall be posted at all City and Hutchinson Utilities Commission
work locations.
L C
OSHA/Safety Assistance 9/04
Model Program -
.fAffIgRy
ACCIDENT INVESTIGATION AND
RECORD ANALYSIS
Policy
Accidents and injuries can reoccur unless root causes are identified and corrected.
All accidents and 'injuries (including close - calls) shall be investigated to identify root
cause and appropriate corrective measures.
Implementation Tools
1. Records Management
The city shall maintain and periodically review the following records.
Record
Maintained By /Location
Employee Personal Exposure
Records
Human Resources — city center & HUC office
Employee Medical Records
Human Resources — city center & HUC Office
Employee Training Records
Human Resources -- city center
Reports Of Accidents /Injuries
Human Resources - city Center & HUC Office
OSHA 300 log
Human Resources - city center & HUC office
Safety Inspection Reports /Audits
Human Resources - city center
Accident Investigations
Human Resources - City center
Canceled Confined Space Permits
Affected Departments i
Lockout/Tagout Work Plans
Affected Departments
Lockout/Tagout Inspections
Affected Departments
Maintenance Records
Affected Departments
L�1 OSHA/Safety Assistance 9/04 //////��///1 /r Is
C Model Program - /I////YI/4
2. Reporting of Accidents and Close -calls
Employees are required to report all accidents and injuries (including close -
calls or near accidents) to their work unit supervisor.
OSHA recordable injuries shall be reported to Human Resources. Human
Resources shall be responsible for reporting and recording OSHA recordable
injuries (including the processing of workers' compensation claims and
compilation of the OSHA 300 log) in accordance with applicable regulations.
It shall be the responsibility of the City Administrator, HUC General Manager,
and /or the Human Resources Director to report fatalities and accidents, which,
result in the hospitalization of three (3) or more - employees, to the nearest
OSHA office within 8 hours.
3. Accident/injury Investigation
Work unit supervisors shall be responsible for promptly investigating all
accidents and injuries (including close - calls /near accidents) to identify root
cause and appropriate corrective actions.
Figure 2 may be used to provide general guidance for determining root cause
and appropriate corrective actions.
Work unit supervisors shall communicate the results of all investigations to
p I,
affected managers, supervisors, employees, and the safety committee.
4. Analysis. of Accidents and Injuries
i
The safety committee shall record and analyze information and statistics ol
accidents and injuries (including close - calls /near accidents) to identify
recurrent hazards
The safety committee shall communicate it's analysis (including any
recommendations) to the city, supervisors, and employees.
C7T�-{ OSHA/Safety Assistance 9/04 /��I! /I ��
a l.. Model Program - •��„AVyl
ode. "� �y
Policy
OCCUPATIONAL MEDICINE ,
Employee health and well being shall be monitored through an occupational
medicine program. Results of the program shall be used to determine employee
fitness for duty and to identify and evaluate any medical effects resulting from
work place safety and health hazards.
Implementation Tools
The Hutchinson Medical Center has been designated as the primary facility to
provide occupational medicine services -to the City of Hutchinson and Hutchins.-M.
Utilities Commission
To facilitate an effective occupational medicine program, the City and HUC shall
provide Hutchinson Medical Center with information about work place safety and
health hazards, employee job duties, and applicable regulations.
As required by work place safety and health hazards and applicable regulations,
Hutchinson Medical Center shall perform initial and periodic medical
examinations and tests to evaluate employee health and fitness for duty.
Hutchinson Medical Center and /or Human Resources shall communicate the
results of medical procedures and tests to the employees.
In accordance with physician /patient confidentiality restrictions, Human
Resources shall communicate pertinent employee medical information to
employees and only those other individuals who have an appropriate reason to
know or have legal access to the information.
The City and HUC shall maintain applicable employee medical records.
Employees shall have access to their medical records, and upon request, said
records shall be released to the employee's personal physician. Said records
shall also be released to the employee's designated representative in
accordance with applicable OSHA restrictions and procedures.
OSHA/Safety Assistance 9/04��V;
l�ll� Model Program -
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-7
CONTRACTOR SAFETY
Policy
Qualified Contractors
It is the policy of the City and Hutchinson Utilities Commission to retain only
qualified contractors that have a demonstrable record'of employee safety and
health and regulatory compliance.
Contractor Duties
The contractor shall be responsible for initiating, maintaining, and supervising
safety and health related policies, programs, and work practices in connection
with the performance of contractual work.
The contractor's safety and health program shall be in compliance with all
applicable regulations and shall provide a level of employee protection that is
equal to or greater than safety and health related .policies, procedures, and work
practices implemented by the City and Hutchinson Utilities Commission
The contractor shall be responsible for furnishing all safety and health related
equipment necessary for the completion of contracted work.
Duties to Subcontractors
The contractor shall be responsible for communicating safety and health related
information to subcontractors and shall ensure that subcontractors initiate,
maintain, and supervise safety and health related polices, programs, and work
practices while performing subcontracted work. i
i
Imminent Danger
The City and Hutchinson Utilities Commission reserves that right to suspend
contracted work, if said work exposes the employees of either city or HUC or the
contractor to imminent danger.
Lu7sOSHA/Safety Assistance 9/04 /f�/I/1 /I �G Model Program - �V�Vy�
Implementation Tools
Exchange of Safety and Health Related Information
Prior to the beginning of contracted work, the project manager /inspector and the
contractor's job site supervisor shall exchange and review applicable safoty and
health related information, procedures, and practices. The information
exchange /review shall include, but may not be limited to:
1. Hazardous materials (including lead and asbestos containing materials)
present in the host city's work place and to which the contractor's
employees might be exposed. Information provided to the contractor shall
include, but may not be limited to.
• Identity and nature of hazardous materials.
•. - Potential health hazards.
• Protective measures.
• Location of Material Safety Data Sheets (MSDS).
2. Hazardous materials brought into the host City's and/or Hutchinson
Utilities Commission's work place by the contractor (including any
subcontractors). Information provided to the
City and /or HUC shall include, but may not be limited to.
• Identity and nature of hazardous materials.
• Potential health hazards.
• Protective measures.
• Location of Material Safety Data Sheets (MSDS)
Lus OSHA/Safety Assistance 9 /04 Model Program -
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1
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I
EMPLOYEE INFORMATION
Policy
Employees shall be provided with adequate and effective safety and health
related information.
Implementation Tools
Employee Rights Under the Occupational Safety and Health Act
Employees will be informed of their rights under the Occupational Safety
and Health Act by posting the "OSHA Poster." The OSHA poster shall be
posted at all primary work locations and at City Center and the Hutchinson
Utilities Commission main facility.
2. Work Place Injuries and Illnesses
Employees shall be informed of work place injuries and illness by posting
of the OSHA 300 A Log for the previous year between February 1 and
April 30 of each year. The OSHA 300 A Log shall be posted at City Center j
and the Hutchinson Utilities Commission main office facility.
3. Access to Safety and Health Related Information
Employees shall be provided access to safety and health related
information, including but not limited to; OSHA standards, Material Safety
Data Sheets, and safety and health related policies and procedures.
Safety and health related information shall be available for employee
review at their respective departments.
Human Resources shall be responsible for posting (or making available)
the above information.
Cu7s OSHA/Safety Assistance 9/04 //�/I/leI A, Model Program - / / /���V��
4. Access to Medical Records
Employee, medical records are maintained on file at City Center or the
Hutchinson Utilities Commission main facility. Employees are to contact
Human Resources to access and review their medical records. Upon
request, medical records shall be released to the employee's private
physician.
5. Access to Personal Exposure Records
Employee exposure records shall be maintained and are on file at City
Center or the Hutchinson Utilities Commission main facility. Employees
are to contact Human Resources to access and review their exposure
records. Upon request exposure records shall be released to the
employee's private physician. Said records shall also be relep.sed to the
employee's designated representative in accordance with applicable
OSHA restrictions and procedures.
6. Access to Training Records
Employee training records shall be maintained and are on file at City
Center. Employees are to contact Human Resources to access and
review their training records. 1
7. Warming Signs, Labels, and Tags
Appropriate signs, labels, and tags shall be used to communicate work
-place hazards and safety and health related information. Some examples
follow:
• Danger signs and tags - shall be used in major hazard situations j
where an immediate hazard presents a threat of death or serious
injury.
• Caution signs and tags - shall be used in minor hazard situations!
where a non - immediate or potential hazard or unsafe practice j
presents a lesser threat of employee injury.
• Warning signs and tags - shall be used to represent a hazard
level between "caution" and "danger".
• Safety Instruction Signs - shall only be used to communicate
safety and health related information.
C27SOSHA/Safety Assistance 9/04 Model Program -
C
EMPLOYEE TRAINING
Policy
All employees shall be provided with effective safety training and instruction as
required by work place hazards, employee job duties, and applicable regulations.
First -line supervisors shall evaluate the effectiveness of training by observing
employee work practices and compliance with established safety and health
related policies, procedures, and practices.
First -line supervisors shall take appropriate actions to correct skill and knowledge
deficiencies.
Implementation Tools
1. New Employees
All new employees shall be provided with effective safety training and
instructions as required by work place hazards, the employee's job duties,
and applicable regulations. The training shall be completed before new
employees perform assigned work. New employee safety training and
instruction shall include, but may not be limited to:
• Information on safety and health related policies, procedures, and
practices.
• Instruction on the identity and nature of work place safety and
health hazards, including hazard control procedures and practices.
• Instruction on specific job duties including safe work practices.
ii
• Instruction on emergency procedures.
The training will be documented and kept on file at City Center
hMC
OSHA/Safety Assistance 9/04
Model Program -
2. In- Service Training of Existing Employees
All existing employees shall receive topical and refresher training as
required by:
• Applicable regulations.
The introduction of new hazards.
Procedural changes.
Work practice deficiencies.
In- service training will be scheduled on a monthly basis.
Attendance will be taken and maintained on file at City Center.
3. Toolbox and Tailgate Safety Talks
'Work unit supervisors shall conduct frequent toolbox and tailgate safety
talks to communicate:
Topical safety and health related information.
• Work- specific hazards and hazard control procedures (job
briefings).
• Hazards associated with non - routine tasks.
4. Training Effectiveness Shall be Evaluated by:
• Work place safety inspections.
• Employee compliance with established policies, procedures, and
work practices.
First -line supervisors shall be primarily responsible for evaluating the
effectiveness of employee training. Feed back will be requested by safety
committee as appropriate.
TT ��,{{ OSHA/Safety Assistance 9/04 //�//p /`IQ
1.a1`"1� Model Program - / IVIZU,1111
EMERGENCY PREPAREDNESS
Policy
The City and Hutchinson Utilities Commission shall be prepared for all
reasonably foreseeable work place emergencies.
Implementation Tools
1. Fire and Emergency Prevention
The City and Hutchinson Utilities Commission has established specific
procedures and responsibilities to prevent fires and other emergencies in
a fire and emergency prevention plan.
2. Emergency Equipment and Egress
Emergency equipment, including but not limited to; exits and exit ways,
fire extinguishers, first aid kits, emergency eye wash stations, emergency
showers, and emergency lights shall be installed, inspected, and
maintained in accordance with applicable regulations.
Procedures for the inspection and maintenance of emergency equipment
are established in the Fire and Emergency Prevention Plan.
3. Employee Emergency Action Plan j
Procedures to be followed by employees in the event of a fire or other
work place emergency are established in the Employee Emergency Actio
Plan.
OSHA/Safety Assistance 9/04
1 rMl. Model Program - ���%��
9
5.
Employee Training
Employees shall be trained for assigned emergency response actions and
duties in accordance with applicable regulations. The information and
training includes, but may not be limited:
• Actions and duties established in the emergency action plan.
• Fire prevention and the use of portable fire extinguishers.
• CPR and first aid.
Job classifications required to be trained in CPR/first aid include and may
be added to by the City and HUC at any time:
( Sworn Police Personnel )
( Firefighters )
( Water & Wastewater Operators )
( Natural Gas Operation Personnel.)
( Electric Line Crew members )
( Lifeguards ) �'
Emergency Response j
The following agencies have been designated to respond to an
emergency at City and Hutchinson Utilities facility locations:
Fire Department: 911
Hospital /Ambulance: 9
Police: 911
Local emergency response agencies shall be informed of work place
safety and health hazards in accordance with applicable regulations.
The local fire department has toured the facility, and has developed a pre-
emergency plan. The preplan is available for employee review at the
Hutchinson Fire Station.
T j�(��II OSHA/Safety Assistance 9/04 //�,
.1.17 Model Program - /I / /� /Yl/1
1
ANNUAL PROGRAM AUDIT
Policy
The effectiveness of the safety and health program shall be assessed by an
annual audit.
Implementation Tools
The safety committee shall perform an annual audit of the safety and health
program. The audit shall be conducted in January of each year.
The goal of the audit shall be to improve overall program effectiveness by
identifying specific needs and deficiencies. Specific recommendations for
improving the program shall be made through updated goals and objectives.
Form SP -9 (or an equivalent) shall be used to complete the audit.
The safety committee shall communicate the results of the audit to the city,
supervisors, and employees.
hMC
OSHA/Safety Assistance 9/04
Model Program -
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I,
I�
Employee Copy
City of Hutchinson /Hutchinson Utilities Commission
Affidavit of Receipt
I (print name) have seen and been given the Safety
and Health Program Document dated November /December 2006, and will work to ensure
that the policies included are carried out in a proper manner.
Signature Date
1/2007
'j
Employe Copy
City of Hutchinson /Hutchinson Utilities Commission
Affidavit of Receipt j
I
(print name) have seen and been given the Safety
and Health Program Document dated November /December 2006, and will work to ensure
that the policies included are carried out in a proper manner.
Signature Date
1/2007
Financial/Operational Performance Metrics — reviewed monthly
Positive Cash Flow —Both Combined Income Statement and Combined Balance Sheet
• This is a measurement of how well Utilities Staff manages the budget. This
should be reviewed monthly. Realistic cash flow numbers are established at
budget time between the Utility Commissioners and Staff of HUC.
Gross Margin — Electric Income Statement; Gas Income Statement
• Electric —this calculation is performed to monitor power acquisition expenses to
total revenue. This should be calculated at budget time, and should also be
reviewed monthly.
Gas —this calculation is performed to monitor gas acquisition expenses to total
revenue. This should be calculated at budget time, and should also be reviewed
monthly.
Operating Income per Revenue Dollar — Electric Income Statement; Gas Income
Statement
• Electric —this calculation is performed to monitor total operation expenses to total
operating revenue. This should be calculated at budget time, and should also be
reviewed monthly.
• Gas — this calculation is performed to monitor total operation expenses to total
operating revenue. This should be calculated at budget time, and should also be
reviewed monthly.
Net Income per Revenue Dollar— Electric Income Statement; Gas Income Statement
• Electric this calculation is performed to monitor total operating and non-
operating expenses to total operating and non - operating revenue. This should be
calculated at budget time, and should also be reviewed monthly.
• Gas— this calculation is performed to monitor total operating and non - operating
expenses to total operating and non - operating revenue. This should be calculated
at budget time, and should also be reviewed monthly.
Current Ratio--Combined Utilities Balance Sheet
This benchmark is a measure of the utilities short-term liquidity, that is the ability
to pay its bills. This ratio takes a snapshot of the utilities liquidity at a point in
time and will vary considerably at other times during the year. This benchmark is
useful when establishing a cash management policy. This should be reviewed
monthly.
Financial/Operational Performance Metrics— reviewed annually
RONA — Electric Income Statement to Net Electric Utility Assets; Gas Income Statement
to Net Gas Utility Assets — useful on an annual basis. This benchmark reflects if rates are
sufficiently set. This benchmark should be used with Cash Flow to properly identify if
rate increases /decreases are needed. This should be reviewed annually.
Revenue (by rate class) per KWHR —this benchmark examines rates of comparable
utilities. This should be reviewed annually.
Revenue (by rate class) per CF— this benchmark examines rates of comparable utilities.
This should be reviewed annually.
Debt to Total Assets — Combined Utilities Balance Sheet
• This benchmark measures the utilities ability to meet its current and long -term
liabilities based on the availability of assets. This should be reviewed annually,
and also prior to issuing debt.
1
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bills. Huc is addressing this by increasing its level of cash.
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Notes:
In Feb. 2006 a rate stabilization fund was established for both the Natural Gas and Electric Udwas
In January 2006, the Natural Gas Division became responsible for making the entire P 6 I Payment for the plpeNe,
In Janrsry 2006, the Electric Division began paying a transportation large of approximately $1,100,000 amusly. This is equivalent to appmnnataly 60 % of to P 81 paymerd for the plpal ne. The
transportation expense was rolled into the electric rate structure
As oondemnstion proceedings come to an and, we plan on transferring the balance of the fads in the raewable and replecemsnt fund ($269,000)
New allocatlors ware used for common aopersm for both the electric and natural gas Lou".
Street frghilg navamra was added Inic the aleobie Income wtarront, atldglonly the InsurMle the City was Increased by the same exact amount.
The Contribution to the City was placed W a differml account, which Y for PILOT.
Summary 2007 BudaeI
Electric Gas Combined
7006 7007 2006 2907 20"
7097
Est haste Badger X$dW to Budget Fathowe
Budget
OPERATING REVENUES
28,332,239.99 28,591,548.40 $ 12,800,000.00 $ 12,283,271.00 $ 40,932,239.99
$ 40,874,819.40
Less:
Cost of Goods
20,808297.89 21,169,813.71 S 10,377,603.99 $ 9.889,822.48 $ 30,983,901.88
$ 31,059.636.19
Other Operating Revenue
241,762.82 218,000.00 S 1,757,609.80 $ 1,800,000.00 S 1,999,362.42
$ 2,018,000.00
Operating Expense
5,090271.31 5,504,877,01 S 1,628,483.18 $ 2,658,432.96 $ 0,718,764.49
$ 8,363,309.90
Income from Operations
2,877,423.61 2,134,867.68 2,353,522.43 1,336,016.68 $ 5,230,948.04
$ 3,469,87326
Operating Income % -age
10.16% 7.47% 18.68% 10.87% 12.78%
8.49%
Other Income(not)
$ 896,608.88 $ 787,000.00 $ 284,000.55 $ 133,300.00 $ 1,170,747.41
$ 920,300.00
ImermUAmort of Debt
$ 3,230.12 $ - $ 1,159,55126 $ 1,140,15126 $ 1,162,881.36
$ 1,140,161.26
Contribution to Chy- Roadway Lighting
$ - $ - $ - $ - $ -
$ -
Contribution to CBy-in 2007 this is an operating expense
$ 715.522.60 $ S 306.652.50 $ $ 1,022,176.00
$
Net Income
$ 3 045 357.85 S 2.021.857.68 $ 1.171.27922 S 328164.32 S 4.216.037.07
3,250.022.00
Calculaban of PILOT
Contribution to Chy-In 2007 is PayrnwA in lirel of tastes to Chy
S 715,522.50
$ 725.521.31
$ 306,852.50
$ 351,663.95
$ 1,022,175.00
S 1,077,184.05
Contribution to City-to pay for roadway Bghti g(not rewlnbad In 06)
$
$ 128292.35
S
$
$
$ 128,292.35
Total PILOT
$ 715,522.50
$ 863,813.66
$ 306,652.60
$ 35103.35
S 1.022,175.00
$ 1,205.477.01
4SiroL.4s?E.nkus�fta<
Fees for Servioe -Legal
$ 27,462.00
$ 28,000.00
$ 2,067.03
S 12,000.00
$ 29,529.04
$ 40,000.00
Fees for Service- Ai— Resources
$ 17,828.10
$ 35,000,00
$ 1,341.90
E 15,000.00
$ 19,170.00
$ 50,000.00
Fees for Service -IT
$ 61,511.77
$ 50,400.00
$ 4,620.91
S 21,600.00
S 66,141.68
s 72,000.00
Tree Pining
E
$ 22,600.00
S
S 7,500.00
$
S 30.000.00
$ 106,001.87
S 113,400.00
5 8,038.85
S 48,600.00
$ 114,840.71
$ 162,000.00
Total Other Contributions
Iota_ ]Papnem to C,
3 822,324.37
$ 967,213.66
$ 314,691.35
S 400,263.35
S 1,137.015.72
S 1,367,4'/7.tl1
Average Rate Base (RONA)
$ 44,360,723.32 $ 39,144,178.00 $ 33,174,207.82 $ 36,340,717.00 S 77,643,931.14 $ 74,484,895.00
Rate of Return
6.49% 5.45% 7.09% 3.78% 6.75%
4.66%
Sources of Funds:
Operating Income
$ 2,134,857.60 $ 1,336,016.68
3,409,87326
Depreciation and Amortization Expense
S 2,019,557.95 S 922,253.00
2,941,810.95
Other Sources of Funds
S 883.000.00 146,300.00
1.028,300.00
Total Sources of Funds
$ 5,037,415.63 2,402,668.68
7,430,98421
Uses of Fund.
Capital Expenditures
$ 2,133,775.00 $ 1,318,075.00
$ 3,461,850.00
Debt Service Bonds
$ - $ 2,135,15126
$ 2,135,15128
Other Uses of Funds
$ $
$
Total Uses of Funds
$ 2,133,775.00 3,453,220.26
5,587 ,001.28
Cash Flow
S 2,903,640.63 S (1.050.667.68)
$ 1 852 902.95
Beginning Year Restricted Fund.
Fuzee Expansion and Devebpmerd
$ 259,000.00
Medical Insurance Fund
$ 100,000,00
Rate Stabilization Funs
$ 111051000.00
Bond and Interest Payment Fund
$ 216,000.00 Notes:
Total Restricted Funds
$ 1,680,000.00 1. The Ending Year Cash Available for use will Increase,
Beginning Your Cash In Benk(Caeh available for use):
S 3.600.000.00 lhovever, tot Fuzee Expansion and Development Fund will
Total Cash at Beginning of Year
6,180,000.00 hake a zero balance.
Cash Flow 2007
1,852,982.95
Total Cash at End of Your
7,032,962.95 2. In addition, It Is very Btdy tied additional raerdrled furls
End Your Restricted Funds:
will be eetab9Mad during calendar year 2007, as a
Future Expansion and Development
$ - consequence the cash avallable for use at year eM will
Medical Insurance Fund
$ 100.000.00 decrease substantially.
Bond and Interest Payment Fund
$ 220.000.00
End Your Cash In Ban Cash available for use- Includes rata stab. furl :
8.712.982.95
Notes:
In Feb. 2006 a rate stabilization fund was established for both the Natural Gas and Electric Udwas
In January 2006, the Natural Gas Division became responsible for making the entire P 6 I Payment for the plpeNe,
In Janrsry 2006, the Electric Division began paying a transportation large of approximately $1,100,000 amusly. This is equivalent to appmnnataly 60 % of to P 81 paymerd for the plpal ne. The
transportation expense was rolled into the electric rate structure
As oondemnstion proceedings come to an and, we plan on transferring the balance of the fads in the raewable and replecemsnt fund ($269,000)
New allocatlors ware used for common aopersm for both the electric and natural gas Lou".
Street frghilg navamra was added Inic the aleobie Income wtarront, atldglonly the InsurMle the City was Increased by the same exact amount.
The Contribution to the City was placed W a differml account, which Y for PILOT.
50%
45%
40%
35%
30%
25%
20%
15%
10%
5%
0%
Debt to Total Assets - -a lower number is better. HUC is addressing this by raising its level of cash, so we reduce our need
of borrowing money. This ratio is a measure of utilty's ability to meet its current and long term liabilities based on its
assets.
Nq $Z3 M4
Of
,q,q
°°°
■ Debt to Total Assets
MM
7.00
M. 11
611iff
4.00
3.00
2.00
1.00
Times Interest Earned, a higher number is better —in 2006 we will exceed the benchmark. This ratio measures the ability
of a utility to cover interest charges and is indicative of the safety margin to lenders.
ti ti ti ti ti ti G
CO
ZZ
CP
O
ti
®Times Interest Earned
$4,500,000.00
$4,000,000.00
$3,500,000.00
$3,000,000.00
$2,500,000.00
$2,000,000.00
$1,500,000.00
$1,000,000.00
$500,000.00
Total Net Income
1999 2000 2001 2002 2003 2004 2005 2006 2007
Forecast Budget
• Natural Gas
• Electric
$6,000,000.00
$5,000,000.00
$4,000,000.00
$3,000,000.00
L
0
0
$2,000,000.00
$1,000,000.00
$(1,000,000.00)
Operating Income Chart
Year
■Operating Income Natural Gas
• Operating Income Electric
[1
1
Fuel /Power Cost Adjustment
Year 2006
Date Gas Electric
Jan 2006
$.00099
$.00000
Feb 2006
$.00000
$.00000
Mar 2006
$.00000
$.00000
Apr 2006
$.00000
$.00000
May 2006
($.00253)
$.00000
June 2006
($.00170)
$.00000
July 2006
($.00291)
$.00000
Aug 2006
($.00060)
$.01062
Sept 2006
$.00000
$.00612
Oct. 2006
$.00000
$.00000
Nov 2006
$.00000
$.00000
Dec 2006
APPENDIX - Definitions
System Average Interruption Frequency Index (Sustained Interruptions) — This is defined as the average
number of times that a customer is interrupted during a specified time period. It is determined by dividing the
total number of customers interrupted in a time period by the average number of customers served. The
resulting unit is "interruptions per customer ".
SAM = Total Number of Customer Interruptions
Total Number of Customers Served
System Average Interruption Duration Index — This is defined as the average interruption duration for
customers served during a specified time period. It is determined by summing the customer - minutes off for
each interruption during a specified time period and dividing the sum by the average number of customers
served during that period. The unit is minutes. This index enables the utility to report how many minutes
customers would have been out of service if all customers were out at one time.
SAIDI = Customer Interruption Durations
Total Number of Customers Served
Customer Average Lntemtption Duration Index — This is defined as the average length of an interruption,
weighted by the number of customers affected, for customers interrupted during a specific time period. It is
calculated by summing the customer minutes off during each interruption in the time period and dividing this
sum by the number of customers experiencing one or more sustained interruptions during the time period. The
resulting unit is minutes. The index enables utilities to report the average duration of a customer outage for
those customers affected.
CAM = Customer Interruption Durations
Total Number of Customer Interruptions
[--I
Page 10 of 11
Event
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
HUC Reliability Statistics for 2006
Event ID
111
113
114
124
125
127
128
131
134
136
135
138
139
179
181
184
SAIFI = Customers Interrupted
Total Customers Served
SAIDI = Customer Interruption Duration
Total Customers Served
CAIDI = Customer Interruption Duration
Customers Interrupted
Comparison to Public Utilities:
SAIFI =
SAIDI =
CAI IDI =
2006
HUC
0.42
8.14
19.56
Number of Outage
Customers Duration
Interrupted (min)
8 39
800 7
10 155
1 75
4 47
1 60
200 41
10 105
5 40
5 15
200 8
100 43
500 16
800 14
200 44
5 90
1 20
1 53
100 60
2951
2951
7092
57733
7092
57733
2951
Customer
Interruption
Duration
312
5600
1550
75
188
60
8200
1050
200
75
1600
4300
8000
11200
8800
450
20
53
6000
57733
0.42 interruptions per
customer /year
8.14 min /year
19.56 min
2002
Midwest
Nation
0.85
3.24
50.13
65.09
55.64
65.91
1
C
2006 Investor Owned Reliability Goals
Xcel
SAIFI
CAIDI
Bemidji
Work Center
SAIDI
SAIFI
CAIDI
Metro East
121.14
1.19
101.39
Metro West
152.86
1.36
112.44
Northwest
106.03
1.06
99.68
Southeast
98.72
0.96
103.11
Interstate
1.6
56.3
MN Power
Work Center
SAIDI
SAIFI
CAIDI
Winnebago
65.27
0.91
72.04
Albert Lea
67.75
0.93
73.17
Otter Tail
Work Center
SAIDI
SAIFI
CAIDI
Bemidji
70
1.25
56
Crookston
80
1.55
52
Fergus Falls
80
1.35
59.3
Milbank
115
2.1
55
Morris
90
1.55
58
Wahpeton
90
1.6
56.3
MN Power
SAIDI
SAIFI
CAIDI
143.19 1.19 120.45
1
0
HUTCHINSON UTILITIES COMMISSION
NATURAL GAS RISK MANAGEMENT PROGRAM
2006
VENTURA FOM PRICE
HUC PROGRAM PRICE
FEBRUARY
MARCH
APRIL
MAY
JUNE
JULY
AUGUST
SEPTEMBER
OCTOBER
NOVEMBER
DECEMBER
$5.9000
$6.8867
$4.0500
$6.2700
$7.4000
$7.8678
$7.9200
$7.9956
$5.4400
$6.7333
$6.3800
$7.0467
$6.7500
$7.1700
$6.2000
$6.9867
$6.2900
$7.0167
$5.3500
$6.7033
,JANUARY
$9.9700
$7.7833
$7.5800
$7.4317
$2.1867
$0.1483
- $0.4200
- $0.7867
- $0.7267
-$1.3533
- $1.2933
- $0.6667
- $0.9867
- $2.2200
- $0.4678
- $0.0756
MONTHLY SYSTEM VOLUMES (DTH)
130,688
141,432
112,655
55,754
38,743
27,967
22,682
27,994
34,024
70,311
97,471
53,373
AVG. GAS DAILY DAILY PRICE
$7.8984
$7.1829
$6.1456
$6.2042
$5.5498
$5.7842
$5.7119
$6.8432
$4.6832
$5.7253
$7.2023
$7.6071
AVG. MONTHLY SYSTEM PRICE
$8.5309
$7.4067
$7.1102
$7.0152
$6.9430
$6.3195
$6.2561
$8.3776
$6.0104
$6.2989
$7.7895
$7.9643
- 0.002.53
- (};001 U
), 029 7
-0':00060
O.CQ�J000
0:00000
0.0000.0
($'S PER CUBIC FOOT)
HUGBP RISK MANAGEMENT PROGRAM
V."' HUC Pdm
Nov-05 7.1 3121900 $12.1000 Du. b Mak.l Price HUC e6cted p grcOese Gds mnbect at V-W. R. d Mmih
Dec-05 10.656 $97700 $0.7700..
Jan-06 12056 590700 w,97m
Feb-06 11,200 37970 37.6150
M-06 10'111 $5 7600 $72608 Purchssed 02/1605 -$7.25 Frmd Priee
Apr-06 5,833 $2000 $725015:': PucMsed02fIW6 -5725 Food Prke
May-0e 3.422 $.2000 $7.2506Purd=W02 /1606 -S725 Fbed Prke
Jun-06 2411 X3500 $7.2505 Purdaad 02/1609 -$725 Fb dPrim
Jul-06 2178 $5.4400 8725M. PueMed 021506 -$725 Rwd Pdm
Aug-00 217 $6360 #26M,Pud..dd02 WI -$725 HwdPdm
Sep-06 Z333 $6.0000 '$1:2500 Purdi.W02H606- S72 ed 5Fb Pdm
001-06 4.922 $40wo .'02500;:: Puaeod 0211608 -6715 Fbad Pd.
Nov-06 7,m0 67.4000
DOC-06 10.$6 ;WAM
Jan -07 12056
Feb-07 11200
Mar -07 10.111,
Apr -07 5A33
May -07 3,422
J-07 2,411
Jul-07 2,7.
Aug -07 2175
Sep-07 2959 ,
Oct-07 4A21 „'•
74905 Fbu PAr
551674
T-h. t Products Used
Nov-05
V.W.
HUC Price
Nov -04
MIN 57.6900
$7.0700
D-04
31.067 $6.0000
$Q.QW
Jan05
36.167 $8.0600
$6.5650 -
Feb-05
33,600 $6.0600
.$.5760.
Mer-05
30,333 $5:8100
$64400
Apr-05
17,wo $6.8300
$6.9600
May-05
10.207 $0.7300
$9000..
Jun-05
7233 $5.8000
$4850.
Ju405
6,533 $5.6100
$8.7000
AUg-05
6.533 $8.6900
$8.4800.
Sep-05
7.000 $9.2800
$7wmo.:
001 -05
14,167 $10:7800.
VAM
56733
224.70 W% Per1GpetkV Seep Capped .1$7.07
17.500 588300 57.4300
Emc,aed m 0'23/2004
17,500 $5 e300 $8380
Vmb4a
HUC Price
NOV-05
16.40"1y1 S121$0
$79500
D-05
21,3y, $.7700
$1.06M
J-06 J06
2 1 swoo
$79500:
Feb-00
22400 67moo
.. 670500
Mare
20,221 $.31KIC
'56.9000''
Apr-06
11.687 562000
May-08
6.644 $2000
i8A74 _
Jun-0B
1.822 563500.
J,A-06
4,3$ x.4460-
".tle2!9(1:..
Aug-05
4S$ $3800.
5..1150:':
SWa W
4.657 $9600:
Od -05
Od-0B
0.644 .$4.0$00
-.. 55.5300
tiA00 30%PerScbaaq $asp Cappd d 67.00
E- dm W2YM
224,700 Fb d Pr $638 d Venture
Varese
HUC Prke
T,T00 87,.100(1
471109 -
10..58 -- 37,929m
". sail$ ;
rjlA�47
1056
V-t- HUC Price
/1.206
15,41M $121800 517500.
Nov-05
10,111
NOV-05
7,700 $12:1800 $72500
0.X3
21,311 507700 $7.7500.
D-05
3,1x2
Dec-05
Jun-w
2411
24.111 399700 $7.7560:
J"7
2.176
Jan-06
Aug -07
217
22.400 67.5800 $7.8850::
880.07
22,400 37.5wo $797811
-
0cw
Mar-06
20222 $.7500 57.2580:.
Mar-06
746700 X17 p0Salpe5r0CRpedat$.71
Esmbd -9 2004
V."' HUC Pdm
Nov-05 7.1 3121900 $12.1000 Du. b Mak.l Price HUC e6cted p grcOese Gds mnbect at V-W. R. d Mmih
Dec-05 10.656 $97700 $0.7700..
Jan-06 12056 590700 w,97m
Feb-06 11,200 37970 37.6150
M-06 10'111 $5 7600 $72608 Purchssed 02/1605 -$7.25 Frmd Priee
Apr-06 5,833 $2000 $725015:': PucMsed02fIW6 -5725 Food Prke
May-0e 3.422 $.2000 $7.2506Purd=W02 /1606 -S725 Fbed Prke
Jun-06 2411 X3500 $7.2505 Purdaad 02/1609 -$725 Fb dPrim
Jul-06 2178 $5.4400 8725M. PueMed 021506 -$725 Rwd Pdm
Aug-00 217 $6360 #26M,Pud..dd02 WI -$725 HwdPdm
Sep-06 Z333 $6.0000 '$1:2500 Purdi.W02H606- S72 ed 5Fb Pdm
001-06 4.922 $40wo .'02500;:: Puaeod 0211608 -6715 Fbad Pd.
Nov-06 7,m0 67.4000
DOC-06 10.$6 ;WAM
Jan -07 12056
Feb-07 11200
Mar -07 10.111,
Apr -07 5A33
May -07 3,422
J-07 2,411
Jul-07 2,7.
Aug -07 2175
Sep-07 2959 ,
Oct-07 4A21 „'•
74905 Fbu PAr
551674
T-d.2 Products Used
Nov-05
T,e 3Producs Used
D-05
10 555 $9 7700 - $8.7300
Jars -06
Vendee HUCPrbe
Feb-0e
VmWre HUC Price
Mar
10 10111 $6.7500 $57800.
Nov -04
23,100 578400 j7A3w
NoVO4
23,100 .UAW $8SM
Jun-06
2411 $.9590 " $7306.
Dec-04
31,087 $88000 - 37.4175
Dec -04
31.957. $6.0000 583800 . ".
Sep-05
2333 $5MW,- $.1900'.'.
J-05
an
36,167 $60800 :372375
Jen -O
36,167 6.: 0600 56.3800
M.y607
Vaara HIICPrb.
Feb-05
33,600 $00000 372425 -
Feb-o5
33,600 '580600 38.3600:.
Jan-07
1295. -' 523440::
Mar -05
30,333 $58100 $1.1750:
Mar -05
30333 $58100 SB 3880
Apr -07
56733
Apr 05
17.500 588300 57.4300
Ap,05
17,500 $5 e300 $8380
JW -07
217 . ' 37J1109:
May -05
10.267 $67300 $74050
May-05
10,267 $67300 $63800
0"7
46722 - AA
Jun 05
7.233 $.8000 $7.4075.
Jun-05
7,M3 $8800 38:3800
e..Adm02mvw
Jul -05
8,533 $5.5loo $795Sw
J61.05
6,533 $5.5100 $3800
Aug -O
6,533 $68900 27.4450
Aug -05
6.533 38.0000 583860:
Sep:
7,000 $0.2900 21.6300
SeP-05
7,000 S9.2w0 $89600: -.
Oct -05
14,467 $10.7800 - :$7.5300
Od -05
14,467 810.78110 $3800
224,70 25% p odp.*V Seep Capped M $7.63
224,700 Fb d Pr $638 d Venture
Etmauled m 10/1312004
E..ut d m 10/2604
Vmbre HUC Prke
Vmkre HUC Pnm
V-t- HUC Price
N-05
15,41M $121800 517500.
Nov-05
15,400 $127000 482500
NOV-05
7,700 $12:1800 $72500
Deo-05
21,311 507700 $7.7500.
D-05
21,311 $0.7700 $021500
Dec-05
10656 30.7700 672500
Jan -06
24.111 399700 $7.7560:
JBn-06
24.111 - .10,9700 582509:
Jan-06
120$ $9.9700 $7257:
Feb-06
22.400 67.5800 $7.8850::
Feb-M
22,400 37.5wo $797811
Feb-06
'two 57.SW VT-"w
Mar-06
20222 $.7500 57.2580:.
Mar-06
202n $6.7s00 67.5000..
Mar-06
10.111 58.7500 572508:.
Apr-06
11,687 $2000 869750:'.
Apr-06
11.657 '$2000 572290:::
Apr-06
5033 38.1000 672300:
May-06
8.844 $2900 SIAW
Mey-06
6,BN " $52000 672700.:
May-06
3,422 $2000 IFT.M
Jun -06
4,822 $.3500 -.
J-06
4,822 - $.3500 368000:
J-05
2411 $5.3500 37.2500:
Jul-06
.18.4310
4,358 $ ,39.6650: -.
Jul-06
4.356: $5.4400 ,36."M
Juwo
217 $5.4400 #7XSW:.
Aug-08
"4100
4,3$ SOMW 5736§0:-
Aug46
4.356 .:$.3800 `:4,A150.::
Aug-06
2178 $535" 37. 2498 -:,
S.P-w
4.667 $.0000 fbffi�:"
Sep-06
4.667 102i5000 .,;7AM :,.
Sep-W
2993 $.0000 672800:
Od-06
OA44 $1.0500 X353000:
Od-06
9,844 $4,0300 i$e:1$0::'.
Oct-06
4.882 .$4.0500 '81.2506 -;
10,000 6l1%P +6cbeMq Saap Gaped al57.]5
140.800 59%PrBdptlYq SY/i CSppedi$25
74900 Pbrd Prker f725 A, VanMa
Emcubd m 10RUAD04
E om*d m 10282004
Esc1Ad 0�05
Verdun Hl1G Prlm
Nov-06
V.,t- HUCPdm
7,700 STAN JOW
Nov-00
Ver1Wa HUC Pd.
7700'3$4000
N-06
Dao-0B
7.700 474000 %51.67(188:
1018$ 5792119
D-W
101$6 193n0 wil29D:!
Dec-W
lama wj=
J07
12056
Jert07
72056.
38"7
12056
Feb-07
11209
Feb-07
71.2M
Feb-07
Mar-07
11,17
10,111 (1.6786
Mar-07
10.111
Mar 07
10.111
Apr 07
SA33 547106::
APf -07
6.039
Apr -07
56739 -
-:
May-07
3.422 16.2700-
May-07
3,422
Mey6O7
8,422
Jun-07
2411 567109;
Jun-07
2411
Jun-07
2411
'..
JUI-07
217 $47490'
Ju407
217
Jul-07
z17
Aug-07
217 $67440,
Aug-07
217
Au�7
2,�7
Sop07
2%33- _bi40o' -_
Sep -07
Oct-07
2?$ -
46722
Od-07
.:
{,322 c2
Oct -07
46712
74900 Fbed Priw�$ At Ventea
76,900 Cater- $�9W672(1 Fa$S75 pr.,a.a
74900 tD1i P�6ebraEq ass Gaped 4$7.62
-74
EsMed00r2BO5
PraNm MMlnbSOW�a*s a achpnM
E-.c dm 101%200/
V."' HUC Pdm
Nov-05 7.1 3121900 $12.1000 Du. b Mak.l Price HUC e6cted p grcOese Gds mnbect at V-W. R. d Mmih
Dec-05 10.656 $97700 $0.7700..
Jan-06 12056 590700 w,97m
Feb-06 11,200 37970 37.6150
M-06 10'111 $5 7600 $72608 Purchssed 02/1605 -$7.25 Frmd Priee
Apr-06 5,833 $2000 $725015:': PucMsed02fIW6 -5725 Food Prke
May-0e 3.422 $.2000 $7.2506Purd=W02 /1606 -S725 Fbed Prke
Jun-06 2411 X3500 $7.2505 Purdaad 02/1609 -$725 Fb dPrim
Jul-06 2178 $5.4400 8725M. PueMed 021506 -$725 Rwd Pdm
Aug-00 217 $6360 #26M,Pud..dd02 WI -$725 HwdPdm
Sep-06 Z333 $6.0000 '$1:2500 Purdi.W02H606- S72 ed 5Fb Pdm
001-06 4.922 $40wo .'02500;:: Puaeod 0211608 -6715 Fbad Pd.
Nov-06 7,m0 67.4000
DOC-06 10.$6 ;WAM
Jan -07 12056
Feb-07 11200
Mar -07 10.111,
Apr -07 5A33
May -07 3,422
J-07 2,411
Jul-07 2,7.
Aug -07 2175
Sep-07 2959 ,
Oct-07 4A21 „'•
74905 Fbu PAr
551674
Vw"a HUC Prinz
Nov-05
7.700 $121000 : $573110.
D-05
10 555 $9 7700 - $8.7300
Jars -06
12056 $.9700 - se.nm
Feb-0e
11.200 $7.6800 $.7300
Mar
10 10111 $6.7500 $57800.
Apr-06
5533 $52000::567300 -
May-0e
9422 $2900.. $57310
Jun-06
2411 $.9590 " $7306.
Jul-w
2178 $5.4400 $6"3900
Aug-06
2178 $$96:." $.7300.
Sep-05
2333 $5MW,- $.1900'.'.
Od-06
4,821 $40500- .'.857300..
Apr -07
74900 Fiord Pdmat$.73AtVmlura
5.73154062M
M.y607
Vaara HIICPrb.
N.V06
7.700. $74000
Dec-W
19.x55 67A7a6 � 675110':
Jan-07
1295. -' 523440::
Feb-07
11.200 {73tD0
Mar -07
will ? 2121107$-
Apr -07
56733
Vey-07
3.422 ;$73100.
AM-07
2411 ST31w,
JW -07
217 . ' 37J1109:
Aug-07
2,179
Sep-07
26733
0"7
46722 - AA
741M FWdPdmat$TAt AtVankea
Eaculed 0620105
V."' HUC Pdm
Nov-05 7.1 3121900 $12.1000 Du. b Mak.l Price HUC e6cted p grcOese Gds mnbect at V-W. R. d Mmih
Dec-05 10.656 $97700 $0.7700..
Jan-06 12056 590700 w,97m
Feb-06 11,200 37970 37.6150
M-06 10'111 $5 7600 $72608 Purchssed 02/1605 -$7.25 Frmd Priee
Apr-06 5,833 $2000 $725015:': PucMsed02fIW6 -5725 Food Prke
May-0e 3.422 $.2000 $7.2506Purd=W02 /1606 -S725 Fbed Prke
Jun-06 2411 X3500 $7.2505 Purdaad 02/1609 -$725 Fb dPrim
Jul-06 2178 $5.4400 8725M. PueMed 021506 -$725 Rwd Pdm
Aug-00 217 $6360 #26M,Pud..dd02 WI -$725 HwdPdm
Sep-06 Z333 $6.0000 '$1:2500 Purdi.W02H606- S72 ed 5Fb Pdm
001-06 4.922 $40wo .'02500;:: Puaeod 0211608 -6715 Fbad Pd.
Nov-06 7,m0 67.4000
DOC-06 10.$6 ;WAM
Jan -07 12056
Feb-07 11200
Mar -07 10.111,
Apr -07 5A33
May -07 3,422
J-07 2,411
Jul-07 2,7.
Aug -07 2175
Sep-07 2959 ,
Oct-07 4A21 „'•
74905 Fbu PAr
551674
Nov-06
Vee9aa HUCPrIm
j Deo-0e
vin HUC PdM
NOV-0e
7,70 67AO60 MW
NOV-06
7,700 57.4ow MW
De006
10,a$ 679200 $9.4500'
Dec06
10,M 57970 ;$,4600.:
Jan-07
rose
Jan-07
12056
Fe"7
11.200
Feb-07
11200
Ma07
10,111
Mer -07
10.111
Ap07
5A33
Apr -07
5,aw
M.y607
3.422
May-07
3,422
Jun-07
2411
Ju.-07
2411
JuW7
2178
Jul-07
217
Aug-07
z,m,
Aug -07
217
SsP-07
2793
Sep-07
2.333
Oct-07
1,622 -
Oct-07
46722 ..,x " :
71670050%Pedklaa1np Sloop Cppdat 211.00
7/ 900 Ea% ParSdpeW,p SYwp CWPWN$ll.00
F .ubd 7(122100
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Nov-06
VerAae HUC Pam
7,7110 $24000 MW
j Deo-0e
106759
57.4280 - X0909"
Jan-07
12066
3e9wo -:
Feb-07
11200
546103_,
Mar -07
15111
, 9.8.1460:
Apr -07
s,033
i0, Or00::
Msy07
Jun-07
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2411
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Aug-07
Sap-07
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2333
3a9490
Oct-07
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Fbed Pam at $0.04 At Venkae
E -A.d WWM
V4rM IN/C Price ^t/arrkea IIllC pryCe V.A- HM Pd. Va HUCPrise j V.0- Salt. Pdp. j j V rd- M)CPdm j I Venkaa WON. 1 1
t40v-07 a7roV ` - Prks Deo-07 106758 . Nov -07 7700 _ Der.07 wAw, -y DtK,07 186756 ! De0-07 10,X6 r i i Dao07 10X9 ! ! D-07 10� I 1 N-07 77W,11.
•" Nov07 T,7o
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Deo07 10.X6 F_ Jane 126756 "rvw � aL J.r, -o6 ,zow s J.,48 72.85. i J.n-06 ,1675. `',s i i Jeno6 121. i i Jan-06 12.056 Jar.oe ,2.059
JarF08 120$ �' 4 Feb08 0200 Feb.06 116710 ,� F4,6.OB 71200 S Feb-OB 11200 Feb-0e „200 Fsb4)e 77200
Feb-08 11255 FebJ>8 ,1210 Feb08 116710 ,fit' Mer-08 10,11 `` Mer478 18,11 I MW-08 10,111 ,,- 1 1 Msr-08 101,1 ' ,. 1 i Mer-08 10121 1 1 Mar-08 10.711
Mef478 10.111 mw-oe 10111 ir# % 3 Y _3 ! se's,. ^yc t . -✓ P 6 ''
sAu ' Mr-0e 5.6$
Mar-OB 1044, .� >
Apr S.m3 °-*�f ,;3 r o� .;q," m i aAaa # }� }>4:: i 1 am` i iM�
Apr-08 66773 3 Apr 6.X3 € . Me 3471 �r 2'05 2122. Me 8.{72
34II Mayes 3.472 Mey-08 67422 "' ' JII DB 2411 Y`. Jull-06 2411 i AIRW 2.411 - I 1 JurF06 2{,1 > i 1 Jurt08 0�
Jun-0B z {t, Jarr48 zst, Jun-08 241,E `."'i< JuF08 2.17. J z,7r �ro r -: J,IOB 2.17 5 z /tt a r� j i i Jur,-06 76771
Jul -OB 2.,7 f.- JuF08 2.,7 Jtd-OB 2.,7 ;, y.i' x 2'77 .n - Ix y i i �-W 2.17 i i r i i
zt7 Ag-08 2.17 Aug-08 2./7 Aug-0e 2.173 Jld-0e 2. ,7 S*p4D8 2= Aug-OB 217 -* Aug4)8 2.m L z ax >~`a«.. .7 i ` i .. *` . �y i 1 2.$3 i i SeP-08 2.883 � ' °It i i -PO 2a�
BaPpg zmg �,�,};, SeP-08 26785 � ,'` -+. Oct-0e 4x2, s�'' .., t od-08 {6772,., ..,, ._. Od-08 46772 �. . -1.,.. Od-0B 46722 -- J..'Y, Od-0B {6722 OCt-06 4,X1
i Oct-08 4X2 Od-08 46772;1 , t 3, x ,. a TIP(10 7 {6700 3 74.900
OQ-08 46772 7,9(10 FkvPrkadat67A0 AtV4Mae 74,000 Se%P.Sat+Ea $Yap Cappedt81095 74,w050%ParidpaaO Swap Oappd .10095 1 7 {900 Fled Pdmat50wAeVaAn 1 1 - 1 Y
74900 Fbed PAmet$S4AtV.A- 74,900 40kV rob- F>enrld d t$?S Ex=ftdm081 M Em bd m 822006 6embd(1827Ae
'2806 - _- ._.._.._. .- _.._.._ - _.- _.._ -s e.. ..... -
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VerAUa HUC PAm '1 1 Ve1,Yee HUC Prke � � � _�_-- _ - - -_• Versa HUC Prim - -� -j 1 ._.�_�� Wiri HIIC Prb .• �- 1 �- ��_ -._�.- VaAUe HUC Prke •�� �•�- •_.�_�•_••
Vaebe HUC Prim 1 VaMre HUC Prke_ 1 I Ver,era HUC Prke 1 Npv-08 77x0 ",` NoVOB 7.76 ° "` Nov-08 7700 Nov-08 T,7W 1
Nov-08 7,700 �':- NovOB 777:° Noy-ft 7700,; '�"r° i i -. 1' 1 1 n'°S 5�v 1 1Nov-08 7.700
N5v08 770 s' � ^-�,- j n I I Oeo41B wASO; 1 1 Dso4% 101.8. �"? t 's . Oso08 106756 . Dso-08 w.Xe . Dspoe 1067$ . Dec .08 ,eA$:~ Do.-0e wow
0.9-03 wASe� Deo08 w67$�,� ":; Jr1-0o 12.656 �'� JW49 ,26756 �. i JarHOD 1210$ �-.�� i JanOB ,20$ i Jsn47e ,2.o$ ,Jen41e lzosa Jan-0B 120$ , : Feb-0D 1,200 .r 1,,26(1 ,Feb -oe 1,.70(1 .. F4-0e ,120(1 F�ib-0a ylo . 1 ',�- Feb-W 11J3m. .. Fb-0O 1120(1 _ m ..����� Feb-0B 11,011 y' Fab41a 11200 '`:'' t y' 1 Mer-0e 10111 WPM 10.111 Mere 10111
" Mare 10,111 y ``'+ I Mre 10,11 ;aY- 119 3 a 6° 1#! 5x9 r - 475 6109 s.x POB 9,613
Mar-0B 10111 r . r-W
SAM 1 1 Apr-0e 5,833`:• $? I 1 Apr-0o SA33 c I 1 Apra $67$3 a 'a`. 1 I Mr f I 1 Apr-09 1 1 AP 1 1 Apr -09 5.X3
Apr-0$ 6, w g -,,--- 1 M '- Me 8,182.9 May-09 SIn • May-06 8422. z. y ' Mey438 3482 ' May-00 8422. `.. ' Mey-0& a,422� r; s • Mey4)B 8.{72
May4N 8.472 w , May-09 8.422 1,1 1 t Jun-09 2471 i 1 I Jun09 tat, m x 1 1 JurWD 2{,1 1 1 ha, 0p 2{t, ! ! Jurr-09 2411 1 t
i 1 1 Jun-09 2411 .Jun -OB 2411
Jv,-0e 21st , June 2.441 Jul-OB 217.', �` ��
Jul 2173 '' i j J� 273_ i i JuFOB 277/ `. I 1 277 1 Aug-0D 2173 1 1 6719-09 217 Alls
JuFOe 217 - i Ju409 2,7y I 1 ,,. I 1 sm 2.,7 tike JuF08 217
AErg -00 2.114'- i Aug-00 217 Aug-00 2.$,"K 6719'00 zt7 i Au9-0V 2.17k' i i 273 ��'' Sap-0e 2.839 ,x SsP-05 2.383 Se
s 1 wf,�, j I 5.04)0 zA33;:- ;3. 1 ! $ems 2.6733 sy a. Sep-0e 7x3 y fi P� zxs �.._, 1 ! 1 ! p-0a 2.$3
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Oct-09 1.X2.,_ ra,., v 1 7980 7 /9(10 08-05 71672x. ,.,�� " 08.06 41.2.2
Od-09 46722 c�. A..- ✓�'1'i: 1 74.000 74900 74.$00
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firnit1Es
AGREEMENT
Hutchinson THIS AGREEMENT is made by and between Hutchinson Utilities
Utilities Commission, hereinafter "HUC" and Minnesota Mining and
Commission Manufacturing Co., Hereinafter "3M ", on the following terms and
conditions.
225 Michigan Street WHEREAS, 3M desires to purchase, and HUC would provide,
Hutchinson, Minnesota Firm Gas for use at 3M's Hutchinson North and South Plants; and,
55350
WHEREAS, 3M, does acknowledge that HUC will, in reliance
upon this Agreement, enter into an agreement to provide Firm Gas
and Transportation.
NOW, THEREFORE, in consideration of the foregoing and for
other good and valuable consideration, the receipt of which is hereby
acknowledged, the parties make the following Agreement:
HUC shall provide, and 3M shall accept, Firm Gas
commencing January 1, 2007, at 9:00 a.m. and
terminating on January 1, 2008, at 9:00 a.m.
1. 3M shall pay HUC by the following schedule
during the term of this Agreement: (All rates expressed
as $ /Dth.)
Flow Through
All
Gas Meters
Commodity Index
Transportation $0-45 $0.85
Craig Lenz
President
Monthly Peak
Donald Walser
Day Demand $9.00immBtu $0.00
Vice President
David Wetteding
Secretary
Steven Cook
2. Hutchinson agrees to provide daily swing supply to 3M
Commissioner
at the applicable price, as published for the day by
Dwight Bordson
Platt's "Gas Daily' in its "Daily Price Survey ($ /Dth)" for
Commissioner
"Northern, Ventura" "Midpoint" ( "Daily Index ")
Michael Kumm
plus /minus $0.01. Swing supply is defined as supply
General Manager
increases or decreases, from contracted levels,
nominated at least 24 hours prior to the start of the gas
Tel 320 - 587 -4746
day.
Fax 320 - 587 -4721
3. Hutchinson shall provide 3M with real -time balancing, based on the
following:
• Best Efforts Realtime Swing nominated less than 24 hours prior to
the end of the gas day on a best efforts basis, priced at the
applicable price, as published for the day by Platt's "Gas Daily" in
its "Daily Price Survey ($ /Dth)" for "Northern, Ventura" "Midpoint"
( "Daily Index "), plus /minus $0.15.
4. 3M shall provide to HUC, by the end of the15th day of the month prior to
gas flow, the baseload level of natural gas required for the following
month. In the event HUC has not received the baseload nomination from
3M by the end of the 15th day of the month prior to the gas flow, HUC
shall nominate the current month's baseload level for the following month.
5. During the term of this Agreement, HUC shall not be liable for stoppage of
flow on the pipeline, Northern Border Pipeline Company equipment
failure, or any other force majeure which affects the flow of gas to the
HUC Border Stations, or any act of God which interrupts flow of gas on
the pipeline.
6. This Agreement sets forth all terms agreed upon between the parties, and
no prior oral or written agreements shall be binding. This Agreement
shall not be altered, amended or modified except as in writing and
executed by both parties.
Dated: Dated:
Hutchinson Utilities Commission
By:
Minnesota Mining & Manufacturing
By:
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