12-30-1985 HUCMRegular Meeting
December 30, 1985
All Commissioners were in attendance; also Mgr. Alexander, Counsel
Peterson and Ruth Hakel.
President Daggett called the meeting to order at 1:00 p.m.
After reviewing the November 25, 1985 minutes, a motion was made by
Commissioner Lyke, seconded by Commissioner Daggett to accept the
minutes as presented. Motion was unanimously carried.
The November electric and gas payables were discussed. Motion was
made by Commissioner Lyke, seconded by Commissioner Daggett to
accept the payables as listed. Motion was unanimously carried.
At 1:15 p.m. Don Swanson of Associated Consultants was welcomed
to the meeting. He presented an update on the feasibility of
Hutchinson Utilities entering into United Power Association's
Integrated Transmission Agreement. Report is on file (Associated
Consultants).
In order for the Commission to have an opportunity to examine an
agreement, a motion was made by Commissioner Beatty, seconded by
Commissioner Lyke authorizing preparation of an agreement between
Hutchinson Utilities Commission and United Power Association.
Motion was unanimously carried.
A brief report was also given by Don Swanson on firm hydro power
from Manitoba, Canada, This power could be available to an
individual utility or as part of an agency.
After discussion, a motion was made by Commissioner Lyke, seconded
by Commissioner Beatty advising Hutchinson Utilities Commission's
intent to purchase 15 megawatts of firm power from the Nelson
River Project. Management was instructed to write letter of intent.
Don Swanson also listed a few of the advantages to belonging to
the Northern Minnesota Public Utilities Board. After discussion,
direction was given to the general manager to obtain a recent
Minnesota Public Utilities Board agreement so as the Commission
could review it again.
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sue-- g0
Ruth Hakel reported on the November financial statements. Motion
was made by Commissioner Beatty, seconded by Commissioner Lyke to
accept both reports. Motion was unanimously carried.
A letter received from Robins, Zelle, Larson and Kaplan dated
December 11, 1985, informed the Commission that Curtiss- Wright
had decided to pay a portion of the judgment in the amount of
$174,813.14 (correspondence on file).
Management was instructed to issue a check in the amount of $32,688
to Robins, Zelle, Larson and Kaplan representing their fee portion
of the payment.
Motion by Commissioner Beatty, seconded by Commissioner Lyke to
increase staff salaries by 3.25% for the year 1986. Motion was
unanimously carried.
Reorganization of duties was discussed. A motion was made by
Commissioner Lyke, seconded by Commissioner Beatty to implement
the job descriptions as presented for a probationary period of
one year, without salary increases. Job descriptions and salaries
will be reviewed after one year. Motion was unanimously carried.
The date for the next monthly meeting will be Tuesday, January 21,
1986 at 1:00 p.m.
The following are November payables:
F,
1
1521 mm
NOVEMBER
American Family Life Ins.
PAYABLES - ELECTRIC
Employee insurance withheld
128.40
Citizens Bank & Trust
Deposit to Contribution Account
25,000.00
Colonial Life & Accident
Employee insurance withheld
196.20
Hutch Fire & Safety
Plant supplies
52.50
Hutch Utilities
Employee utility bills withheld
700.00
IBM Corp.
Lease
482.00
Midwest Gas Asso.
Employee insurance withheld
69.34
Natural Gas Division
Due to Natural Gas Division
392,100.07
accounts receivable
Norwest Bank Mpls.
Bond & interest payment
621,151.50
Petersen - Wisdorf
Inventory
1,105.80
Richard Peterson
Legal retainer
400.00
U.S. Postal Service
Office supplies
110.00
W E S C O
Mdse.
935.70
Keith Larson
Refund - overpayment
9.38
State Treasurer
FICA withheld & expense
3,724.02
State Treasurer
PERA withheld & expense
3,765.23
Citizens Bank & Trust
Federal tax withheld
4,497.22
First State Federal Saving
Payroll deposit plan
2,829.87
First National Bank
Payroll deposit plan
1,795.11
Citizens Bank & Trust
Payroll deposit plan
5,347.45
Woodmen Accident & Life
Medical insurance
5,455.02
ICMA Retirement Corp.
Employee deferred comp withheld
1,050.00
Putnam Fund Dist.
Employee deferred comp withheld
25.00
Continental Assurance Co.
Life insurance
47.30
Continental Assurance Co.
Life insurance
200.09
Gary Stading
Meter refund & interest
1.56
Kenneth Kresien
11.43
John M. Steele
41.45
Tom McClellan
15.06
Mark Teigland
8.08
Tom Lozenski
8.42
Anne Dezenski
2.54
Allen Hjille
66.01
Petty Cash
392.68
Petty Cash
Postage
827.72
ICMA Retirement Corp.
Employee deferred comp withheld
1,050.00
Putnam Fund Dist.
Employee deferred comp withheld
25.00
Plowman's, Inc.
New truck
15,766.20
Citizens Bank
Payroll deposit plan
5,995.44
First National Bank
Payroll deposit plan
1,901.39
First State Federal Saving
Payroll deposit plan
2,962.46
State Treasurer
FICA withheld & expense
3,647.62
State Treasurer
PERA withheld & expense
3,752.04
Citizens Bank & Trust
Federal tax withheld
4,598.29
Commissioner of Revenue
State tax withheld
3,916.17
Road Machinery & Supplies
New truck
48,125.70
IBM Corp.
Maint. service
505.50
State Treasurer
PERA withheld & expense
3,751.39
State Treasurer
FICA withheld & expense
3,476.16
Commissioner of Revenue
State tax withheld
1,960.36
NOVEMBER
- ELECTRIC (cont)
Citizens Bank & Trust
Federal tax withheld
4,544.44
First State Federal Saving
Payroll deposit plan
2,953.93
First National Bank
Payroll deposit plan
1,868.32
Citizens Bank & Trust
Paryoll deposit plan
5,278.85
ICMA Retirement Corp.
Employee deferred comp withheld
1,050.00
Putnam Fund Dist.
Employee deferred comp withheld
25.00
Hutch Fire & Safety
Fire extinguisher, fire training
257.00
MN Electric Supply
Inventory
99.79
Four Seasons Services
Cup inserts
39.80
Anderson Chemical Co.
Inventory
185.25
Powertronics, Inc.
Transformers
35.32
MN Lift Truck Corp.
Power operated equip. maint.
55.87
Plowman's, Inc.
Truck maint.
122.95
McMaster -Carr Supply
Plant supplies
88.56
American Welding Supply
Supplies
26.61
United Way
United Way withheld
130.00
Lawson Products
Supplies
166.51
Fabricare Cleaners
Laundry
63.00
Abbott Electronics, Inc.
Radio maint.
3.00
Allen Office Products
Office supplies
72.00
American Linen Supply
Laundry
61.71
Associated Consultants
Engineering fees
294.00
Border States Electric
Inventory, supplies
1,931.99
Brandon Tire
Truck & equip. maint.
197.13
Case Power & Equipment
Power operated equip. maint.
46.15
Coast to Coast
Plant supplies, building maint.
184.61
Commissioner of Revenue
Sales tax
18,431.91
Continental Safety Equip.
Supplies, equip. maint.
116.96
Culligan Water Cond.
Plant supplies
11.25
Curtis 1000
Office supplies
1,292.31
Ed Davis Business Machines
Office supplies
216.50
Duro -Test Corp.
Building maint.
374.48
Family Rexall Drug
Office supplies
6.97
Farm & Home Dist.
Supplies, truck & power operated
75.56
equip. maint.
Fireman's Fund Ins.
Employee insurance withheld
98.08
Fitzloff Hardware
Plant supplies
12.90
Forbe's Auto
Truck maint.
13.21
Jim Hatch Sales
Equipment maint.
142.02
Hazard Control, Inc.
Building maint.
116.42
Home Bakery
Cookies
172.50
Hutchinson Leader
Legal publication
205.16
Hutch Util - Emp. Fund
Employee fund withheld
94.00
Hutch Utilities
Labor 2,444.04
5,222.80
Plant & UC 2,778.76
usage
Hutch Wholesale
Plant supplies, mdse., truck maint.
124.68
IBEW Local 949
Union dues withheld
428.00
Jahnke's Red Owl
Coffee, supplies
72.70
Junker Sanitation
Refuse service
81.00
Juul Contracting Co.
Underground expense
52.90
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NOVEMBER - ELECTRIC (cone)
Lakes Gas Co.
Leef Bros., Inc.
MN Benefit Asso.
MMUA
Northern States Supply
Paper Service Co.
People's Natural Gas Co.
Petersen- Wisdorf
Plaza OK Hardware
Plowman's, Inc.
Rapidforms, Inc.
Road Machinery & Supplies
Share Corp.
Simonson Lumber
Standard Printing
Tigo Enterprises
UPA
Welders Supply Co.
W E S C 0
Zep Mfg. Co.
Marley Cooling Tower
City of Hutchinson
City of Hutchinson
H & C Electric Supply
MN Electric Supply Co.
Graybar Electric Co.
David Weis
Terry Planh
Rodney Nordling
Robert Mlynac
Kevin Huhn
Hillard Graupman
Ehlers of Hutchinson
Jane Bonniwell
Trimble House Corp.
General Trading Co.
Hutch Telephone
Graybar Electric Co.
Rockite Silo
Central MN Communication
Petty Cash
City of Hutchinson
UPA
Gas
Laundry
Employee insurance withheld
Safety training
Plant supplies, mdse., tools
Plant supplies
Safety training
Inventory, plant supplies
Plant supplies
Truck maint.
Office supplies
Mdse.
Equipment maint.
Mdse., water system maint.
Office supplies
Advertising
Station equip. maint.
Plant supplies
Transformers
Plant supplies
Water system maint.
Underground expense
Water bill
Inventory, mdse., bldg. maint.,
supplies
Mdse., plant supplies, bldg. maint.
Inventory
Meter refund & interest
Mdse.
Plant supplies, mdse., truck
maint., tools
Telephone
Inventory
Mdse.
Communications equip.
Meter refunds & interest, office
supplies, meeting expense
Water bill
Purchased power
153.35
41.22
10.00
628.43
38.19
219.49
900.00
1,680.06
23.31
28.50
84.75
67.27
49.80
74.13
72.50
220.00
163.00
15.00
68.06
166.00
259.30
3,631.00
79.11
847.65
177.62
228.93
21.30
42.60
42.40
42.40
42.40
21.20
106.50
21.30
3,091.77
349.24
1,349.32
5,481.24
343.68
663.00
377.04
110.75
493,725.58
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NOVEMBER - ELECTRIC (cont)
Mankato Business Products Office supplies 56.48
Dale Sturges Snow plowing 495.00
Medical Insurance 1,490.83
NOVEMBER PAYABLES - GAS
First National Bank
Deposit to Inc. Pricing Acct.
720.00
Hutch Utilities
Payroll deposit plan
2,683.50
State Treasurer
PERA withheld & expense
957.50
State Treasurer
FICA withheld & expense
839.20
Citizens Bank & Trust
Federal tax withheld
1,074.53
ICMA Retirement Corp.
Employee deferred comp withheld
300.00
Putnam Fund Dist.
Employee deferred comp withheld
50.00
Continental Assurance Co.
Life insurance
18.70
Continental Assurance Co.
Life insurance
79.09
American Family Life Ins.
Employee insurance withheld
50.80
Ametek, Inc.
Inventory
263.40
Apollo Piping Supply
Inventory
81.74
Colonial Life & Acc. Ins.
Employee insurance withheld
39.00
Firstate Federal Savings
Deposit to C/D Account
500.00
Hutch Utilities
Employee utility bills withheld
490.00
Midwest Gas Asso.
Employee insurance withheld
21.66
State Treasurer
PERA employee insurance withheld
9.00
ICMA Retirement Corp.
Employee defereed comp withheld
300.00
Putnam Fund Dist.
Employee deferred comp withheld
50.00
Hutch Utilities
Payroll deposit plan
2,865.50
First National Bank
Deposit to Inc. Pricing Acct -Int.
8,250.00
Apollo Piping Supply
Inventory
39.10
State Treasurer
PERA withheld & expense
956.10
State Treasurer
FICA withheld & expense
836.78
Citizens Bank
Federal tax withheld
1,056.96
State Treasurer
PERA withheld & expense
978.98
State Treasurer
FICA withheld & expense
875.90
Commissioner of Revenue
State tax withheld
1,439.71
Citizens Bank & Trust
Federal tax withheld
1,124.09
Hutch Utilities
Payroll deposit plan
2,858.47
Putnam Fund Dist.
Employee deferred comp withheld
50.00
ICMA Retirement Corp.
Employee deferred comp withheld
300.00
Elvin Safety Supply
Supplies
117.99
American Meter Co.
Inventory
1,729.25
Plexco - Fairfield
Inventory
106.15
Circle Hutch Utility
Temp. transfer of funds
8,750.08
Lawson Products
Supplies
166.51
United Way
United Way withheld
24.00
Northern Natural Gas Co.
Safety promotion
50.00
Minvalco
Mdse., inventory
133.27
American Meter Division
Inventory
61.15
Apollo Piping Supply
Inventory
21.00
Apollo Piping Supply
Inventory
255.39
American Welding Supplies
Supplies
65.61
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NOVEMBER - GAS (cont)
Case Power & Equipment
Central Contractors Supply
Circle Hutch Utility
Continental Safety Equip.
Folz Systems
Hutchinson Co -op
Hutchinson Leader
Hutch Utilities - Emp. Fund
Hutch Utilities
Hutchinson Wholesale
IBEW Local 949
Juul Contracting Co.
Lakes Gas Co.
Northern Natural Gas Co.
Northern States Supply
Peoples Natural Gas Co.
Share Corp.
Simonson Lumber
Tapecoat Company
Velvet Coach, Inc.
W. D. Cooling Clinic
Welders Supply Co.
Wigen Chevrolet Co.
Yellow Freight System
Hutch Utilities
General Trading Co.
Petty Cash
G. T. C. Auto Parts
Medical Insurance
Power operated equip. mai
Supplies
Purchased gas
Supplies
Telemetering
Supplies
Legal publication
Employee fund withheld
Labor, peak shaving
Truck maint.
Union dues withheld
Mains
Gas
Purchased gas
Supplies
Safety training
Supplies
Power operated equip. mai
Services & mains
Meeting expense
Truck maint.
Supplies
Truck maint.
Freight charges
Due to Municipal Electric
November expenses
Supplies
Supplies, meeting expense
Truck maint.
nt. 138.43
25.25
401,072.87
30.61
3,200.00
3.00
136.78
24.00
1,832.80
3.04
117.25
10.10
100.56
54.98
28.60
300.00
26.80
nt. 8.13
936.00
63.58
38.45
97.50
2.00
76.02
Plant 12,384.23
28.04
27.00
3.64
432.46
There being no further business, a motion was made by Commissioner
Lyke, seconded by Commissioner Beatty to adjourn the meeting at
4:50 p.m. Motion was unanimously carried.
ATTEST
E. Daggett, Presi e t
r J Thomas B. Lyke, Secre
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ck