cp11-25-2014Workshop - Enterprise Funds 4: 00 p.m.
AGENDA
REGULAR MEETING — HUTCHINSON CITY COUNCIL
TUESDAY, NOVEMBER 25, 2014
1. CALL TO ORDER — 5:30 P.M.
2. INVOCATION — Oak Heights Covenant Church
3. PLEDGE OF ALLEGIANCE
4. RECOGNITION OF GIFTS, DONATIONS AND COMMUNITY SERVICE TO THE CITY
5. PUBLIC COMMENTS
6. MINUTES
(a) REGULAR MEETING OF NOVEMBER 12, 2014
[Action] — Move to approve/reject the minutes of the regular meeting of November 12, 2014
7. CONSENT AGENDA (Purpose: only for items requiring Council approval by external entities that would
otherwise have been delegated to the City Administrator. Traditionally, items are not discussed.)
5 min. (a) RESOLUTIONS AND ORDINANCES
1. RESOLUTION NO. 14355 — RESOLUTION GIVING HOST APPROVAL TO THE
ISSUANCE OF HOUSING AND HEALTH CARE REVENUE REFUNDING BONDS AND
RATIFYING PUBLICATION OF NOTICE OF PUBLIC HEARING
(b) PLANNING COMMISSION ITEMS
1. CONSIDERATION OF CONDITIONAL USE PERMIT TO ALLOW THE
CONSTRUCTION OF A 1500 SQ. FT. DETACHED GARAGE LOCATED AT 55 NORTH
HIGH DRIVE NE WITH FAVORABLE PLANNING COMMISSION
RECOMMENDATION (ADOPT RESOLUTION NO. 14345)
2. CONSIDERATION OF CONDITIONAL USE PERMIT TO ALLOW A STORAGE USE
LOCATED AT 115 ERIE STREET SE IN AN INDUSTRIAL/COMMERCIAL ZONING
DISTRICT WITH FAVORABLE PLANNING COMMISSION RECOMMENDATION
(ADOPT RESOLUTION NO. 14346)
3. CONSIDERATION OF CONDITIONAL USE PERMIT TO ALLOW A STORAGE USE
LOCATED AT 135 MONROE STREET SE IN AN INDUSTRIAL/COMMERCIAL
ZONING DISTRICT WITH FAVORABLE PLANNING COMMISSION
RECOMMENDATION (ADOPT RESOLUTION NO. 14347)
(c) CONSIDERATION FOR APPROVAL OF ITEMS FOR WASTEWATER TREATMENT
FACILITY SOLAR PV INSTALLATION PROJECT (LETTING NO. 4, PROJECT NO. 15-04)
(d) CONSIDERATION FOR APPROVAL OF ISSUING TEMPORARY CONSUMPTION &
DISPLAY PERMIT TO CENTER FOR THE ARTS ON DECEMBER 6, 2014
CITY COUNCIL AGENDA NOVEMBER 25, 2014
(e) REAPPOINTMENT OF ANTHONY HANSON TO HUTCHINSON UTILITIES
COMMISSION TO DECEMBER 2019
(f) APPOINTMENT OF TODD BRANDEL TO POLICE CIVIL SERVICE COMMISSION TO
MAY 2016 (FILLING UNEXPIRED TERM OF VERN MEYER)
(g) CONSIDERATION FOR APPROVAL OF ENTERING INTO CONTRACT WITH MCLEOD
COUNTY FOR THE 2015 PROPERTY ASSESSMENT SERVICES
(h) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — REGISTER A
[Action] — Motion to approve/rej ect those items contained under the consent agenda.
7A. CONSENT AGENDA
(a) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — REGISTER B
[Action] — Motion to approve/reject Council Check Register B
PUBLIC HEARINGS — 6:00 P.M. - NONE
9. COMMUNICATIONS, REQUESTS AND PETITIONS (Purpose: to provide Council with information
necessary to craft wise policy. Always looking toward the future, not monitoring past)
10 min. (a) REVIEW OF 20015 PAVEMENT MANAGEMENT PROGRAM REPORT
[No action]
10. UNFINISHED BUSINESS
11. NEW BUSINESS
10 min. (a) CONSIDERATION FOR APPROVAL OF WAYFINDING SIGNAGE PROPOSAL
[Action] — Motion to approve/deny retaining services of Hoisington Koegler Group, Inc. to prepare
wayfinding/gateway signage master plan
10 min. (b) CONSIDERATION FOR APPROVAL OF RENEWING THE CITY'S THREE-YEAR
CONTRIBUTION TO THE HUTCHINSON CENTER FOR THE ARTS
[Action] — Motion to approve/deny authorizing $15,000 annual contribution to Hutchinson Center
for the Arts for the years 2015, 2016 and 2017
5 min. (c) CONSIDERATION FOR APPROVAL OF REVISING RESOLUTION NO. 13873 — A
RESOLUTION AUTHORIZING FUNDING FOR PUBLIC ARTS COMMISSION
[Action] — Motion to approve/deny amending Resolution No. 13873 authorizing $20,000 to be
budgeted annually in the Capital Projects Fund for public arts projects.
5 min. (d) CONSIDERATION FOR APPROVAL OF SETTING CITY OF HUTCHINSON HOLIDAY
PARTY
[Action] — Motion to approve/deny setting City of Hutchinson Holiday Party
5 min. (e) DISCUSSION OF REVISING ON -SALE INTOXICATING LIQUOR LICENSE FEE
2
CITY COUNCIL AGENDA NOVEMBER 25, 2014
[Action] — Motion to approve/deny revising on -sale intoxicating liquor license fee
5 min. (f) CONSIDERATION FOR APPROVAL OF SETTING CITY OF HUTCHINSON 2015
ORGANIZATIONAL MEETING FOR JANUARY 2, 2015
[Action] — Motion to approve/deny setting City of Hutchinson organizational meeting for January 2,
2015
12. GOVERNANCE (Purpose: to assess past organizational performance, develop policy that guides the
organization and Council and manage the logistics of the Council. May include monitoring reports, policy
development and governance
process items.)
(a) CITY OF HUTCHINSON FINANCIAL REPORT AND INVESTMENT REPORT FOR OCTOBER
2014
(b) HUTCHINSON HOUSING & REDEVELOPMENT AUTHORITY BOARD MINUTES FROM
OCTOBER 21, 2014
(c) PLANNING/ZONINGBUILDING DEPARTMENT MONTHLY REPORT FOR OCTOBER 2014
(d) PLANNING COMMISSION MINUTES FROM OCTOBER 21, 2014
13. MISCELLANEOUS
14. ADJOURN
MINUTES
REGULAR MEETING — HUTCHINSON CITY COUNCIL
WEDNESDAY, NOVEMBER 12, 2014
1. CALL TO ORDER — 5:30 P.M.
Mayor Steve Cook called the meeting to order. Members present were Gary Forcier, Mary Christensen,
Bill Arndt and Chad Czmowski. Others present were Marc Sebora, Interim City Administrator, Kent
Exner, City Engineer and Jody Winters, Attorney
2. INVOCATION — Pastor Todd Harris, Oak Heights Covenant Church, delivered the invocation.
3. PLEDGE OF ALLEGIANCE
4. RECOGNITION OF GIFTS, DONATIONS AND COMMUNITY SERVICE TO THE CITY
Gary Forcier commented that several volunteers painted the hallways at Park Elementary and everything
looks great.
5. PUBLIC COMMENTS
Paul Ackland, 167 Elk Drive, presented before the Council. Mr. Ackland stated that he was at the last
Council meeting at which the HUC General Manager gave a presentation on a reduction of the HUC
industrial rates. Mr. Ackland urged the Council to take a vote on the proposed reductions even though
they are not required to. He feels it is a very important item that needs tote considered by the Council.
Mr. Ackland asked the City Attorney to review Section 10.03 of the City Charter pertaining to the
necessity of a public hearing. Both Jody Winters and Marc Sebora explained that Section 10.03 pertains
to public hearings required for public utilities operating under franchises, such as telecommunications
and other public utilities. The Hutchinson Utilities Commission rates are regulated under Chapter 11 of
the City Charter and no public hearing is required. Although Mr. Ackland disagreed with these
opinions, he again urged the Council to take action on the proposed industrial rate reductions being
proposed.
Craig Bishop, 221 Freemont Avenue, presented before the Council. Mr. Bishop also asked that the
Council vote on the industrial rate reduction. He also asked Mr. Sebora if it made sense to have a public
hearing held on the matter. Mr. Sebora reiterated that the City Charter does not require that a public
hearing be held.
6. MINUTES
a) REGULAR MEETING OF OCTOBER 28, 2014
b) SPECIAL MEETING OF OCTOBER 31, 2014
Motion by Christensen, second by Arndt, to approve the minutes of the regular meeting of October
28, 2014, and special meeting of October 31, 2014. Motion carried unanimously.
7. CONSENT AGENDA (Purpose: only for items requiring Council approval by external entities that would
otherwise have been delegated to the City Administrator. Traditionally, items are not discussed.)
(a) RESOLUTIONS AND ORDINANCES
1. RESOLUTION NO. 14353 —RESOLUTION AMENDING RESOLUTION NO. 14321 —
ADOPTING CORRECTION OF LEGAL DESCRIPTION
(b) CONSIDERATION FOR APPROVAL OF IMPROVEMENT PROJECT CHANGE ORDERS
- CHANGE ORDER NO. 4 — LETTING NO. 3, PROJECT NO. 14-03 (2014 PAVEMENT
MANAGEMENT PROGRAM)
- CHANGE ORDER NO. 3 — LETTING NO. 1, PROJECT NO. 14-01 (JEFFERSON
STREET)
CITY COUNCIL MINUTES NOVEMBER 12, 2014
(c) CONSIDERATION FOR APPROVAL OF IMPROVEMENT PROJECT CHANGE ORDER
NO. 2 FOR BURICH ARENA REFRIGERATION REPLACEMENT PROJECT
(d) CONSIDERATION FOR APPROVAL OF REVISIONS TO ASSESSMENT ROLL FOR 2014
PAVEMENT MANAGEMENT PROGRAM PROJECT
(e) CONSIDERATION FOR APPROVAL OF ITEMS FOR 2ND AVENUE SE
RECONSTRUCTION PROJECT — LETTING NO. 1, PROJECT NO. 15-01 (ORDERING
PREPARATION OF REPORT ON IMPROVEMENT, RECEIVING REPORT AND CALLING
HEARING ON IMPROVEMENT)
(f) CONSIDERATION FOR APPROVAL OF ITEMS FOR AUTOMATIC WATER METER
READING IMPLEMENTATION PROJECT — LETTING NO. 7, PROJECT NO. 15-07
(ORDERING PREPARATION OF REPORT ON IMPROVEMENT, RECEIVING REPORT
AND CALLING HEARING ON IMPROVEMENT)
(g) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — REGISTER A
Item 7(b) was pulled for separate discussion.
Motion by Arndt, second by Czmowski, to approve those items contained under the consent agenda
with the exception of Item 7(b). Motion carried unanimously.
Item 7(b) had further discussion. Marc Sebora noted that the board action form had been revised to
accurately match the change order.
Motion by Forcier, second by Christensen, to approve Item 7(b). Motion carried unanimously.
7A. CONSENT AGENDA
(a) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — REGISTER B
Motion by Czmowski, second by Arndt, with Forcier abstaining, to approve Council Check Register
B. Motion carried unanimously.
8. PUBLIC HEARINGS — 6:00 P.M. - NONE
9. COMMUNICATIONS RE UESTS AND PETITIONS (Purpose: to provide Council with information
necessary to cra t wise policy. Always looking toward the juture, not monitoring past)
10. UNFINISHED BUSINESS
11. NEW BUSINESS
(a) CONSIDERATION FOR APPROVAL OF ENTERING INTO CONTRACT WITH B S & A FOR
SOFTWARE SERVICES
Tom Kloss, Information Technology Director, presented before the Council. Mr. Kloss provided an
overview of actions staff has taken to date on researching alternative software services for the City's
financial and other software systems. The City is researching other software service providers due
to the lack of service and support being provided by the current provider, Civic Systems. In 2013,
the City converted to a system from LOGIS to Civic Systems in order to save costs. BS & A was
another company that had also made a proposal to the City in 2013. Mr. Kloss and the utility billing
specialist recently had a site visit to the offices of BS & A, a software company specializing in
government management software, along with live demonstrations at a community that currently
2
CITY COUNCIL MINUTES NOVEMBER 12, 2014
utilizes their software package. Based on the site visit and demonstrations, staff is requesting
approval to enter into a contract with BS & A for software services to manage Human Resources,
Payroll, Finance, Business Licensing, Special Assessments, Building Permits, Rental Inspections
and Utility Billing. Mr. Kloss provided a cost breakdown for the BS &A product. The payback of
converting to this new system will see a payback in an additional two years. Total with both
products will see a payback of four years. This is a $130,000 annual cost savings from the LOGIS
system that had been used for decades by the City.
Marc Sebora provided comments on the feedback he has received from staff members on the
disappointment of the current system that went into place in 2013.
Motion by Forcier, second by Christensen, to approve entering into contract with BS&A for
software services. Motion carried unanimously.
(b) CONSIDERATION FOR APPROVAL OF FULL ACQUISITION OF MN/DOT WATER STREET
TRUCK GARAGE PROPERTY
John Olson, Public Works Manager, presented before the Council. Mr. Olson explained that the
City has been utilizing a Water Street truck garage property since early 2013. MnDOT offered a
conveyance of the property, with a reversion clause, for the City to take possession of the property.
The Council passed a Resolution in May 2013 requesting conveyance of the property from MnDOT
to the City. Just recently, staff was notified by MnDOT that the State would prefer a full transfer
and would be willing to convey the property with no reversion clause for $3,000, which represents
MnDOT's cost to coney the property. Staff is recommending approvingthis conveyance. The
facility will provide off-season storage for the Fire Department, Public Works and other city
departments.
Motion by Forcier, second by Czmowski, to approve full acquisition of Mn/DOT Water Street truck
garage property. Motion carried unanimously.
(c) CONSIDERATION FOR APPROVAL OF LETTER OF SUPPORT FOR DAKOTA RAIL TRAIL
STUDY AND PRELIMINARY DESIGN GRANT APPLICATION
Kent Exner, City Engineer, presented before the Council. Mr. Exner explained that the Minnesota
Department of Natural Resources along with the assistance of McLeod County is submitting a grant
application for the Dakota Rail Trail study and preliminary design efforts. Staff is requesting that
the Council approve a Letter of Support to be submitted with the grant application. A slight revision
was made to the letter of support that was originally included in the packet and was distributed to the
Council.
Motion by Arndt, second by Christensen, to approve letter of support for Dakota Rail trail study and
preliminary design grant application. Motion carried unanimously.
(d) DISCUSSION OF HUTCHINSON UTILITIES COMMISSION INDUSTRIAL RATE
REDUCTION AND CONSIDERATION OF POSSIBLE ACTION
Mayor Steve Cook focused on some key points provided during the presentation at the last Council
meeting. Some of these points included the increase of on-site generation sites and increased use by
factories. There are over 55 on-site generation sites currently in operation throughout the state. The
government supports these on-site generation sites for various reasons. Mayor Cook covered user
benefits and other cost-saving benefits. The proposed industrial rate reduction will keep 3M as a full
customer of HUC and the phased -in approach HUC is considering will give them time to study all
concepts for researching various cost reductions. The HUC has already reduced $500,000 in
expenses to control costs. Mayor Cook mentioned that at the last Council meeting, a member of the
public mentioned that perhaps council members might have a conflict of interest because some of
them have 3M stock.
Jody Winters, attorney, explained the difference between contractual and non -contractual conflicts
of interest. Ms. Winters explained that the Council Members do not have a personal interest in this
decision that is so distinct from the public that they cannot fairly represent the public interest. The
recommendation from the HUC is to reduce the rates for its industrial users and 3M just happens to
CITY COUNCIL MINUTES NOVEMBER 12, 2014
be one of the users. Ms. Winters stated that it would be impossible for the Council to make this
decision, or others, if all connections to an industrial user could disqualify them from voting. There
is no evidence or information to suggest that a decision on this matter is an arbitrary reflection of the
Council Member's selfish interests, or in other words, that the Council Member cannot fairly
represent the public. The decision the council may be making will have the same impact on them as
any other citizen.
Gary Forcier commented that he hopes there will not be a rate increase to the residents and hoped
that more information could come forth on how the $1million shortfall will be made up. Itis the
unknown that scares people on how their rates will be affected.
Jeremy Carter, HUC General Manager, presented before the Council. Mr. Carter explained that
HUC is continually reviewing their business model and changes may be made, which will in effect
either create cost reductions or revenue generators. This will be an ongoing process and all options
will be considered before rates are increased for users. Mr. Carter spoke about capacity sales, which
offset costs. This is due to HUC having their own generation within the city.
(e) CONSIDERATION FOR APPROVAL OF SETTING 2015 HUTCHINSON UTILITIES
COMMISSION FINANCIAL TRANSFER
Marc Sebora, Interim City Administrator, presented before the Council. Mr. Sebora explained that
the HUC will be facing financial challenges over the next few years. These challenges are mainly
due to, among other things, increasing costs particularly in the electric division. Andy Reid, City
Controller, presented before the Council. Mr. Reidexplained that in 2014 a base transfer amount of
$1,430,000 was transferred from HUC to the City. In addition to the base transfer amount, HUC
transferred an additional $500,000. Because of the financial challenges HUC is facing, a
subcommittee consisting of City and HUC officials met to discuss the transfer for 2015. Based on
these discussions, it is proposed that there is a City transfer reduction of the additional $500,000 that
will be transferred in 2014 outside of the base transfer amount, in addition to a base amount
reduction of $500,000 (transfer percent) to a total 2015 transfer figure of $939,000. This reduction
to the 2015 base amount can be offset by the additional $500,000 received in 2014 that have been
put in reserves. Because these additional 2014 dollars are set aside, they can be used to backfill a
temporary reduction in the base amount transfer, resulting in no net tax levy impact to the City in
2015. The City's final budget will be revised to incorporate this change. The revised budget will be
presented at the truth in taxation hearing and in December when final approved.
Motion by Christensen, second by Cook, to approve reduction of Hutchinson Utilities Commission
financial transfer. Motion carried unanimously.
(f) CANVASS ELECTION RESULTS FROM MUNICIPAL ELECTION HELD NOVEMBER 4, 2014
Motion by Arndt, second by Christensen, to approve Resolution No. 14354, canvassing the election
returns of the general municipal election held on November 4, 2014. Motion carried unanimously.
12. GOVERNANCE (Purpose: to assess past organizational performance, develop policy that guides the
organization and Council and manage the logistics of the Council. May include monitoring reports, policy
development and governance
process items.)
(a) RESOURCE ALLOCATION COMMITTEE MEETING MINUTES FROM OCTOBER 7, 2014
13. MISCELLANEOUS
Marlin Torgerson, 1245 Rolling Oaks Lane, presented before the Council. Mr. Torgerson asked if
questions could be clarified related to the industrial rate proposals. Mr. Torgerson requested a
meeting between the City Council, the HUC Commissioners and former HUC Commissioners.
Mayor Cook suggested that interested persons meet with the HUC General Manager or HUC
Commissioners first.
Mary Christensen and Bill Arndt both recognized the various Veterans programs that were held
yesterday on Veterans' Day.
.19
CITY COUNCIL MINUTES NOVEMBER 12, 2014
Gary Forcier requested that residents adopt a fire hydrant and keep them clear from piles of snow
Marc Sebora spoke briefly about the process that will be followed when Gary Forcier takes the
mayor's seat and his City Council Seat #3 becomes vacant in early January. Mr. Sebora explained
that most likely the Council will appoint an individual to Council Seat #3 and then a special
election will be held to fill the remainder of the term of that seat.
Mr. Sebora also mentioned that the City Council approved offering an employment contract to
Matt Jaunich for the city administrator position. He, Brenda Ewing, Gary Forcier and Chad
Czmowski were appointed to a negotiating committee to work on the contents of the employment
agreement. The intention is to have rendition of the contract put together shortly to present to Mr.
Jaunich.
Kent Exner — Mr. Exner spoke about a grant application that is due this Friday for available funds
that can be used to to improve Century Avenue from Hwy 15 South to Jefferson Street. The City
will be requesting $500,000 and the City's matching requirement will be 20% or $125,000. These
funds are scheduled to be delivered in 2019, but there is sometimes potential to receive the funds
sooner if other projects do not occur as scheduled.
Motion by Arndt, second by Forcier, to approve grant application for improvements to Century
Avenue. Motion carried unanimously.
2 Exner informed the Council that a neighborhood meeting will be held tomorrow night for the
s Avenue SE project. Mr. Exner also stated that Hwy 22 paving was completed today.
Mayor Cook stated that earlier this year the Council had discussed changing the mayoral term
from two years to four years. One of the reasons received for opposition to that concept from the
public was that it would make it difficult if a "bad" mayor was in office. Because of these
comments, Mayor Cook suggested perhaps the Council should consider adopting Council bylaws.
Mayor Cook stated that he had some examples from the City of Minnetonka and the Mayor's
Association Handbook. Mayor Cook stated he would forward information on to other council
members for them to review. Mayor Cook also mentioned that awhile back the Council and staff
had discussed implementing an ethics policy. He suggested placing a draft policy on a future
meeting agenda.
14. ADJOURN
Motion by Arndt, second by Christensen, to adjourn at 7:20 p.m. Motion carried unanimously
HUTCHINSON CITY COUNCIL 04-fAa�
Request for Board Action 7AL =-ft
Resolution Giving Host Approval to the Issuance of Housing & Health Care Revenue
Agenda Item: Refunding Bonds and Ratifying Publication of a Notice of Public Hearing
Department: Finance
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter: Andy Reid
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 1
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
In 2006, the City of Lake Crystal issued its $9,755,000 Housing and Health Care Refunding Revenue Bonds
(Ecumen - Second Century Project) to refinance six senior housing/assisted living facilities in various Minnesota cities,
which included The Oaks at 945 Century Avenue in Hutchinson. The six cities, including Hutchinson, were basically
conduits for the financing and a Joint Powers Agreement was amended in 2006 due to the refinancing.
Ecumen would like to refinance the bonds again and take advantage of lower interest rates. The maturity date of the
bonds is being extended from September 2039 to April 2041 and due to this extension, Federal Law dictates that the
City of Hutchinson hold a public hearing with respect to issuing the refunding bonds. Ecumen has made
arrangements for publication of the notice of public hearing for the November 23rd Hutchinson Leader. The public
hearing will be held on December 9th with an Ecumen representative present.
To clarify, the City will have no liability or obligation related to these bonds and our bond rating will not be affected by
the bonds. The City will be receiving approximately $1,000 to reimburse us for our time and costs related to this
matter.
Please see the attached documents for more information.
BOARD ACTION REQUESTED:
Approve Resolution #14355 and set a public hearing for December 9th.
Fiscal Impact: $ 0.00 Funding Source:
FTE Impact: Budget Change: No
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
�0ILI -4 4
•
8 R i G G 5 C#M M O R G A N
VIA E-MAIL
22001 5 Center
80 South 8th Street
Minneapolis MN 55402-2157
tel 612.9 77-8400
fax 612.977,8650
MEMORANDUM
TO: City Administrator, Marc Sebora, City of Hutchinson
FROM: Trudy J. Halla, Briggs and Morgan, P.A.
DATE: November 19, 2014
RE: City of Lake Crystal, Minnesota Housing and Health Care Revenue
Bonds (Ecumen — Second Century Project), Series 2014A (the "Bonds")
On August 16, 2006, the City of Lake Crystal ("Lake Crystal") issued its $9,755,000
Housing and Health Care Refunding Revenue Bonds (Ecumen — Second Century Project) Series
2006A (the "2006 Bonds") to refinance six senior housing/assisted living facilities at the
following locations: 175 East Derrynane Street, Le Center, Minnesota (26 units), 945 Century
Avenue, Hutchinson, Minnesota (42 units), 511 West Blue Earth, Lake Crystal, Minnesota (24
units), 206 Third Avenue NE, Mapleton, Minnesota (18 units), 113 First Street SW, New
Richland, Minnesota (19 units) and 700 Knight Street, St. Peter, Minnesota (42 units)
(collectively, the "Project"). The Project was undertaken by Second Century Housing, a
Minnesota nonprofit corporation (the "Borrower"), whose sole member is Ecumen, a Minnesota
nonprofit corporation. The 2006 Bonds were issued under an Indenture of Trust dated as of
August 1, 2006 between Lake Crystal and U.S. Bank National Association, as trustee (the
"Indenture") and a Joint Powers Agreement among Lake Crystal and each of the other cities,
including, Hutchinson, in which a facility was located. Hutchinson received a $12,000
administrative fee in 2006 relating to issuance of the 2006 Bonds.
Ecumen would now like to take advantage of lowering interest rates to refinance the 2006
Bonds. To accomplish this Ecumen proposes to have Lake Crystal issue a series of additional
bonds under the Indenture in an amount not to exceed $8,500,000 (the "2014 Bonds") to refund
and redeem the 2006 Bonds. Because the 2014 Bonds will have a final maturity longer than the
final maturity of the 2006 Bonds (April 1, 2041 instead of September 1, 2039) and because a
portion of the Project financed with the 2006 Bonds is located in Hutchinson it is necessary for
Hutchinson to hold a public hearing with respect to issuance of the 2014 Bonds. We have made
arrangements for publication of the notice of public hearing to be published in the Monday,
November 23 edition of Hutchinson Leader. A resolution for consideration by the Hutchinson
City Council at its meeting on December 9 is included with this memo. If it is adopted we will
need a certified copy but Hutchinson does not need to sign anything else. The 2014 Bonds will
6794845v1
Briggs and Morgan, Professional Association
Minneapolis I St. Paul I www.briggs.com
Member - Lex Mundi, a Global Association of Independent Law Firms
BRIGGS AND MORGAN
be issued later in December. The Borrower will pay any costs and expenses of the City for
review and adoption of the resolution.
The 2014 Bonds are a conduit financing authorized by Minnesota Statues, Chapter 462C.
Lake Crystal is a conduit issuer and the money and obligations now only between U.S. Bank, as
trustee, and the Borrower. The 2014 Bonds and the resolutions adopted by Lake Crystal and
Hutchinson will recite that the 2014 Bonds, will not be payable from or charged upon any of
either City's funds, other than the revenues received from the Borrower under the Loan
Agreement between Lake Crystal and the Borrower which revenues are pledged to the payment
of all of the bonds issued under the Indenture. Neither Lake Crystal, Hutchinson nor any of the
other cities where the Project is located is subject to any liability on the 2014 Bonds. No holder
of the 2014 Bonds will ever have the right to compel any exercise by any municipality of its
taxing powers to pay any of the principal of the 2014 Bonds or the interest or premium thereon,
or to enforce payment of the 2014 Bonds against any property of any municipality except the
payments to be made by the Borrower under the Loan Agreement. The 2014 Bonds will not
constitute a charge, lien or encumbrance, legal or equitable, upon any property of any
municipality. The 2014 Bonds will not be a moral obligation on the part of the State or its
political subdivisions, including any municipality, and the 2014 Bonds will not constitute a debt
of any municipality within the meaning of any constitutional or statutory limitation. The
issuance of the 2014 Bonds will not affect Hutchinson's credit rating on bonds it issues for its
own municipal purposes. Hutchinson will not be required to provide any continuing disclosure
or arbitrage calculations regarding the 2014 Bonds or the Project.
I hope this brief memorandum provides adequate information for the City to give
approval to holding a public hearing so the financing of the proposal can proceed. If any
additional information is needed, please contact Trudy J. Halla at 612-977-8513. Thank you.
2
6794845v1
Extract of Minutes of a Meeting of the
City Council of the
City of Hutchinson, Minnesota
Pursuant to due call and notice thereof, a regular meeting of the City Council of the
City of Hutchinson, Minnesota, was duly held in the Council Chambers at the City Hall in said City on
Tuesday, the 25th day of November, 2014, at 5:30 o'clock P.M.
The following members were present:
and the following were absent:
Member introduced the following resolution and moved its adoption:
RESOLUTION NO. 14355
RESOLUTION CALLING FOR A PUBLIC HEARING ON
HOST APPROVAL TO THE ISSUANCE OF HOUSING AND
HEALTH CARE REVENUE REFUNDING BONDS AND RATIFYING
PUBLICATION OF A NOTICE OF THE HEARING
(ECUMEN — SECOND CENTURY PROJECT)
The motion for the adoption of the foregoing resolution was duly seconded by member
, and after full discussion thereof and upon vote being taken thereon, the following
voted in favor thereof:
and the following voted against the same:
whereupon said resolution was declared duly passed and adopted.
6677323v2 -e �� ci Lo" I
RESOLUTION CALLING FOR A PUBLIC HEARING ON
HOST APPROVAL TO THE ISSUANCE OF HOUSING AND
HEALTH CARE REVENUE REFUNDING BONDS AND RATIFYING
PUBLICATION OF A NOTICE OF THE HEARING
(ECUMEN — SECOND CENTURY PROJECT)
(a) WHEREAS, Minnesota Statutes, Chapter 462C and Sections 469.152 though
469.1655, as amended (collectively, the "Act"), confer upon cities, the power to issue revenue bonds to
finance and refinance health care and multifamily and assisted living housing developments within the
boundaries of the city and elsewhere in the State of Minnesota pursuant to a conduit borrowing/joint
powers agreement; and
(b) WHEREAS, the City of Hutchinson, Minnesota (the "City"), has received from
Second Century Housing, a Minnesota nonprofit corporation (the "Company"), whose sole member is
Ecumen, a Minnesota nonprofit corporation, a proposal that the City of Lake Crystal, Minnesota assist
in refinancing, among other things, a Project described in Exhibit A, a portion of which is located in
the City, through the issuance of a revenue bonds or other obligations (in one or more series) (the
"Bonds") pursuant to the Act; and
(c) WHEREAS, the City has been advised that a public hearing and City Council
approval of the refinancing of the Project is required under the Act and Section 147(f) of the Internal
Revenue Code because a portion of the facilities to be refinanced by the Bonds are located in the City:
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of
Hutchinson, Minnesota, as follows:
1. A public hearing on the proposal of the Borrower will be held at the time and place set
forth in the Notice of Public Hearing attached hereto as Exhibit A.
2. The actions of the City Administrator in causing the publication of the Notice of Public
Hearing in the official newspaper of the City and a newspaper of general circulation available in the
City, not less than 14 days nor more than 30 days prior to the date fixed for the hearing, is hereby
ratified.
Adopted by the City Council of the City of Hutchinson, Minnesota, this 25`h day of
November, 2014.
Mayor
ATTEST:
City Administrator
6677323v2
STATE OF MINNESOTA
COUNTY OF MCLEOD
CITY OF HUTCHINSON
I, the undersigned, being the duly qualified and acting City Administrator of the City of
Hutchinson, Minnesota, DO HEREBY CERTIFY that I have compared the attached and foregoing
extract of minutes with the original thereof on file in my office, and that the same is a full, true and
complete transcript of the minutes of a meeting of the City Council of said City duly called and held
on the date therein indicated, insofar as such minutes relate to ratifying the calling for a public hearing
on giving host approval to the issuance of revenue obligations.
WITNESS my hand this _ day of November, 2014.
City Administrator
6677323v2 3 �-ks--t-d uq-)
EXHIBIT A
NOTICE OF PUBLIC HEARING
ON A PROPOSAL FOR ISSUANCE OF HOUSING AND
HEALTH CARE REVENUE REFUNDING BONDS
(ECUMEN - SECOND CENTURY PROJECT)
Notice is hereby given that the City Council of the City of Hutchinson, Minnesota (the
"City") will meet in the Council Chambers at the City Center, 111 Hassan Street SE in the City, at
5:30 p.m. on Tuesday, December 9, 2014 to consider giving host approval to the issuance by the City
of Lake Crystal, Minnesota ("Lake Crystal") of revenue bonds under Minnesota Statutes, Chapter
462C and Sections 469.152 through 469.1655, as amended, to refund Lake Crystal's Housing and
Health Care Refunding Revenue Bonds (Ecumen - Second Century Project), Series 2006A (the "Prior
Bonds").
Second Century Housing, a Minnesota nonprofit corporation (the "Company"), whose
sole member is Ecumen, a Minnesota nonprofit corporation, has proposed that Lake Crystal refund the
Prior Bonds. The Prior Bonds were issued to finance or refinance certain tax exempt obligations of
the Company or a related entity relating to the senior/assisted living/memory care facilities (the
"Projects") described below:
175 East Derrynane Street, Le Center, Minnesota
26 units
945 Century Avenue, Hutchinson, Minnesota
42 units
511 West Blue Earth, Lake Crystal, Minnesota
24 units
206 Third Avenue NE, Mapleton, Minnesota
18 units
113 First Street SW, Hutchinson, Minnesota
19 units
700 Knight Street, St. Peter, Minnesota
42 units
The Company, or a related entity, is the owner or operator of the Projects.
The Prior Bonds will be refunded by the issuance of tax-exempt revenue bonds by Lake
Crystal in a maximum estimated principal amount not to exceed $8,560,000. The bonds, as and when
issued, will not constitute a charge, lien or encumbrance upon any property of the City or any other
municipalities, except the revenues derived from the Projects. The bonds will not be a charge against
the general credit or taxing powers of the City or any other municipalities, but are payable from sums
to be paid by the Company pursuant to certain revenue agreements.
At the time and place fixed for the public hearing, the City Council of the City will give
all persons who appear at the hearing or submit written comments an opportunity to express their
views with respect to the refinancing of the Projects.
BY ORDER OF THE CITY COUNCIL
THE CITY OF HUTCHINSON, MINNESOTA
By Marc Sebora
Its Administrator
A-1
6677323v2
R,.2o\s.?,d -1 LQ) I
Extract of Minutes of a Meeting of the
City Council of the City of Hutchinson, Minnesota
Pursuant to due call and notice thereof, a regular meeting of the City Council of the City
of Hutchinson, Minnesota, was duly held at the City Hall in said City on Tuesday, December 9,
2014, at 5:30 P.M.
The following members were present:
and the following were absent:
Member introduced the following resolution and moved its adoption:
RESOLUTION NO.
RESOLUTION GIVING HOST APPROVAL TO THE ISSUANCE
OF HOUSING AND HEALTH CARE REVENUE REFUNDING BONDS
UNDER MINNESOTA STATUTES, CHAPTER 462C AND SECTION 471.656
(ECUMEN - SECOND CENTURY PROJECT) AND RATIFYING PUBLICATION OF A
NOTICE OF PUBLIC HEARING
The motion for the adoption of the foregoing resolution was duly seconded by member
, and after full discussion thereof and upon vote being taken thereon, the
following voted in favor thereof:
and the following voted against the same:
whereupon said resolution was declared duly passed and adopted.
6794846v1
RESOLUTION GIVING HOST APPROVAL TO THE ISSUANCE
OF HOUSING AND HEALTH CARE REVENUE REFUNDING BONDS
UNDER MINNESOTA STATUTES, CHAPTER 462C
AND SECTION 471.656
(ECUMEN - SECOND CENTURY PROJECT) AND RATIFYING PUBLICATION OF A
NOTICE OF PUBLIC HEARING
BE IT RESOLVED, by the City Council (the "Council") of the City of Hutchinson,
Minnesota (the "City") as follows:
Section 1. General Recitals. Minnesota Statutes, Chapter 462C, as amended, and
Section 471.656, as amended (collectively, the "Act"), confer upon cities, the power to issue
revenue bonds to finance and refinance health care and multifamily and assisted living housing
developments within the boundaries of the city and elsewhere in the State of Minnesota pursuant
to a conduit borrowing/joint powers agreement.
Section 2. Description of the Project.
(a) Second Century Housing, a Minnesota nonprofit corporation, (the "Borrower"),
have proposed the issuance of revenue bonds to current refund outstanding Housing and Health
Care Refunding Revenue Bonds (Ecumen-Second Century Project), Series 2006A (the "Prior
Bonds") issued by the City of Lake Crystal, Minnesota ("Lake Crystal"). The Prior Bonds were
issued to finance or refinance certain tax exempt obligations of the Borrower, or a related entity,
relating to the senior/assisted living/memory care facilities (collectively, the "Project") described
below:
175 East Derrynane Street, Le Center, Minnesota
26 units
945 Century Avenue, Hutchinson, Minnesota
42 units
511 West Blue Earth, Lake Crystal, Minnesota
24 units
206 Third Avenue NE, Mapleton, Minnesota
18 units
113 First Street SW, New Richland, Minnesota
19 units
700 Knight Street, St. Peter, Minnesota
42 units
The Borrower, or a related entity, is the owner or operator of the Project. In 2006, each of the
cities in which a facility is located entered into a joint powers agreement pursuant to which Lake
Crystal issued the Prior Bonds to finance the Project. The City received a $12,000
administrative fee for issuance of the Prior Bonds.
(b) The Borrower has proposed that Lake Crystal, issue revenue obligations, in one or
more series (the 'Bonds"), under the Act, in order to refinance the Project, in the approximate
aggregate principal amount not to exceed $8,560,000; and
(c) The City has been advised that the Bonds or other obligations, as and when
issued, will not constitute a charge, lien or encumbrance upon any property of the City or Lake
Crystal, except the Project and the revenues to be derived from the Project to be paid by the
Borrower pursuant to a revenue agreement.
2
6794846v1
Section 3. Recital of Representations Made by the Borrower.
(a) The Borrower has agreed to pay any and all costs incurred by the City in
connection with the issuance of the Bonds, whether or not such issuance is carried to completion.
(b) The Borrower has represented to the City that no public official of the City has
either a direct or indirect financial interest in the Project nor will any public official either
directly or indirectly benefit financially from the Project.
Section 4. Public Hearing.
(a) City staff authorized publication of a Notice of Public Hearing as required by the
Act and Section 147(f) of the Code, which notice was published in the City's official newspaper
and newspaper of general circulation, for a public hearing on the proposed issuance of the Bonds
and the proposal to undertake and refinance the Project. The actions of City staff are hereby
ratified.
(b) As required by the Act and Section 147(f) of the Code, the City Council has on
this same date held a public hearing on the issuance of the Bonds and the proposal of Lake
Crystal to undertake and refinance the portion of the Project located within the jurisdictional
limits of the City, at which all those appearing who desired to speak were heard and written
comments were accepted.
Section 5. Host Approval. The City Council hereby gives the host approval required
under Section 147(f) of the Code and, pursuant to Minnesota Statutes Section 462C.05, Subd. 1
and 471.656, Subd. 2(2), the City Council hereby consents to the issuance of the Bonds.
Mayor
ATTEST:
City Administrator
3
6794846v1
STATE OF MINNESOTA
COUNTY OF MCLEOD
CITY OF HUTCHINSON
I, the undersigned, being the duly qualified and acting City Administrator of the City of
Hutchinson, Minnesota, DO HEREBY CERTIFY that I have compared the attached and
foregoing extract of minutes with the original thereof on file in my office, and that the same is a
full, true and complete transcript of the minutes of a meeting of the City Council of said City
duly called and held on the date therein indicated, insofar as such minutes relate to granting host
approval to the issuance of revenue bonds to refinance a project in the City.
WITNESS my hand this day of December, 2014.
City Administrator
4
6794846v1
HUTCHINSON CITY COUNCIL c'=y-fAa�
Request for Board Action 7AL =-ft
Agenda Item: CUP for Construction of 1,500 sq. ft. detached garage - 55 North High Dr. NE
Department: Planning
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete N/A
Contact: Dan Jochum
Agenda Item Type:
Presenter: Dan Jochum
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
Mr. Lucas Runke and Mr. Matthew Runke are requesting a conditional use permit to allow the construction of a 1,500
sq. ft. detached garage located at 55 North High Dr. NE. A Conditional Use Permitted is required for detached
garages larger than 1,000 sq. ft., as noted in Section 154.026 of the Zoning Ordinance.
The Conditional Use Permit (CUP) is required for accessory structures larger than 1,000 square feet in residential
zoning districts. The proposed garage will be in the rear yard space located at 55 North High Dr. NE in Hutchinson.
As noted above, the proposed structure is approximately 30 x 50' or 1,500 square feet and will be a detached garage
used for personal storage. The height of the proposed structure is approximately 13 feet to the roof mid-point. The
height to the top of the structure is 15' 4" which is less than the ordinance requirement of 16 feet to the roof mid-point.
The proposed structure appears to meet all applicable setbacks, as well as all other Zoning Ordinance requirements.
The garage will be accessed by a driveway along the west side of the house.
Russ Rasco spoke in opposition of the proposed garage citing concerns of the size of the garage and the water runoff
issues it could create. Mr. Rasco indicated there has been flood ing/stormwate r issues in this area and he didn't want
to see those issues get worse. Kent Exner, City Engineer addressed Mr. Rasco's concerns and indicated that the lot
this garage is being built on is about an acre in size and the added impervious surface created by the garage was
negligible in comparison to the larger lot size. The garage is going to take up about 3.4% of the total lot coverage.
Mr. Rasco felt the garage didn't fit the scale of the neighborhood because of its size as well.
Commissioner Fahey had questions related to the curb cut for this address and how wide it is. Mr. Exner noted a
typical curb cut is 24 feet wide. It was also noted that North High Drive is a County Road and doesn't function like a
typical City street.
After brief discussion the Planning Commission unanimously approved the request.
BOARD ACTION REQUESTED:
Approval of CUP.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
DIRECTORS REPORT - PLANNING DEPARTMENT
x._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g..a. a. g'.3'.a'.a'.3'.a•.a. g. a' x. , . -,
To: Hutchinson Planning Commission
From: Mike Schumann, Dolf Moon, Mike Babe, Dave Hunstad, Lee Miller, Jeff Page, Jean Ward, Judy
Flemming, John Webster, John Olson, Lenny Rutledge, Kent Exner, John Paulson, Marc Sebora,
Dan Hatten, Dan Jochum, Andrea Schwartz, and Kyle Dimler.
Date: November 10, 2014, for November 18, 2014, Planning Commission Meeting
Application: CONSIDERATION OF CONDITIONAL USE PERMIT TO ALLOW THE CONSTRUCTION OF
A 1,500 SQ FT DETACHED GARAGE LOCATED AT 55 NORTH HIGH DR. NE.
Applicant: MR. LUCAS RUNKE AND MR. MATTHEW RUNKE
CONDITIONAL USE PERMIT
Mr. Lucas Runke and Mr. Matthew Runke are requesting a conditional use permit to allow the construction of a
1,500 sq. ft. detached garage located at 55 North High Dr. NE. A Conditional Use Permitted is required for
detached garages larger than 1,000 sq. ft., as noted in Section 154.026 of the Zoning Ordinance.
Conditional Use Permit
55 North High Dr. NE - 1,500 sq. ft. garage
Planning Commission—11-18-14
Page 2
GENERAL INFORMATION
Existing Zoning: R-2
Property Location: 55 North High Dr. NE
Lot Size: .99 ac.
Existing Land Use: Single Family Dwelling
Adjacent Land Use
And Zoning: R-2 Medium Density Residential, C-4 Fringe Commercial
Comprehensive
Land Use Plan: Low Density Residential Neighborhood
Zoning History: Residential use with no recorded variances or conditional use permits
Applicable
Regulations: Section 154.026
Conditional Use Permit:
The Conditional Use Permit (CUP) is required for accessory structures larger than 1,000 square feet in
residential zoning districts. The proposed garage will be in the rear yard space located at 55 North High Dr. NE
in Hutchinson. As noted above, the proposed structure is approximately 30 x 50' or 1,500 square feet and will
be a detached garage used for personal storage. The height of the proposed structure is approximately 13 feet to
the roof mid -point. The height to the top of the structure is 15' 4" which is less than the ordinance requirement
of 16 feet to the roof mid -point. The proposed structure appears to meet all applicable setbacks, as well as all
other Zoning Ordinance requirements. The garage will be accessed by a driveway along the west side of the
house.
The following are standards for granting a conditional use permit:
(a) The proposed building or use at the particular location requested is necessary or desirable to provide
a service or a facility which is in the interest of the public convenience and will contribute to the
general welfare of the neighborhood or community;
(b) The proposed building or use will not have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities and other matters
affecting the public health, safety and general welfare; and
(c) The proposed building or use will be designed, arranged and operated so as to permit the
development and use of neighboring property in accordance with the applicable district regulations.
Conditional Use Permit
55 North High Dr. NE - 1,500 sq. ft. garage
Planning Commission—11-18-14
Page 3
Conclusion:
1. The proposed structure is desirable and will contribute to the general welfare of the neighborhood in
the subject location as it will be consistent with other uses in the R-2 zoning district.
2. The proposed building is not anticipated to have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities, and other matters
affecting the public health, safety, and general welfare as the use of the property will remain very
similar to the existing use of the property.
The proposed building will be designed, arranged, and operated so as to permit the development and
use of neighboring property in accordance with the applicable district regulations, just as they are
used today.
Recommendation:
Staff recommends the approval of this request to the Planning Commission due to the fact that the applicant's
request meets the standards for approving a conditional use permit provided above.
If the Planning Commission recommends approval of the applicant's request, staff suggests the following
conditions be part of the approval:
1. The standards for granting a conditional use permit would be met, subject to the conditions stated.
2. The proposed building and site improvements shall comply with the standards of the R-2 district and
the Zoning Ordinance.
3. The Applicant must obtain all necessary permits for any construction that would be needed.
4. The conditional use permit shall remain in effect as long as the conditions required by the permit are
observed. Any expansion or intensification of a conditional use or change to another conditional use
requires approval of a new conditional use permit.
5. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall be
deemed null and void.
6. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use permit
must be applied for.
25'-0"
30'-0"
10' Setback
Allowance
21'-1"
30'-0"
25' -0"
167'-5"
50'-0"
50'-0"
A
V
15 1
5' -0"
Proposed
Entrance
Address: 55 N. High Drive
260'-0"
�ECEI EG
OCT 14 ;i,4
ey sae Hutchins -,o
Planning, Zoning
Wilding Departments
N
t
Scale
1:450
CITY OF HUTCHINSON
MCLEOD COUNTY, MINNESOTA
RESOLUTION NO. 14345
RESOLUTION ADOPTING FINDINGS OF FACT AND REASONS FOR APPROVAL OF
CONDITIONAL USE PERMIT TO ALLOW THE CONSTRUCTION OF A 1,500 SQ. FT. DETACHED
GARAGE LOCATED AT 55 NORTH HIGH DR. NE.
FACTS
1. Mr. Lucas Runke and Mr. Matthew Runke, are the owners of a parcel of land located at 55 North High
Dr. NE, Hutchinson Minnesota; and,
2. The subject property is legally described as: That part and portion of the South Twenty (20) acres of
the West Half of the Southeast Quarter of Section Thirty (30), township One Hundred Seventeen (117)
North of Range Twenty-nine (29) West, now known as Lot 12, Auditor's Plat of the South Half of
Section 30 and the North Half of Section 31, Township 117, Range 29 described as follows:
Commencing at a point 410 feet East of the Southwest corner of the Southeast Quarter of Section.
Thirty (30) Township One Hundred Seventeen (117) North of Range Twenty-nine (29) West and 33
feet North of the South line of the Southeast Quarter of said Section 30, thence East parallel with the
South line of the Southeast Quarter of said Section 30, a distance of 167.5 feet; thence North 260 feet;
thence West on a line parallel with the South line of the Southeast Quarter of said Section 30, a
distance of 167.5 fee; thence South 260 feet to the point of beginning.
Mr. Lucas Runke and Mr. Matthew Runke have applied to the City for a conditional use permit to
allow the construction of a 1,500 sq. ft. detached garage, located at 55 North High Dr. NE, Hutchinson
MN.
4. The Planning Commission met on November 18, 2014, and held a public hearing on the request and
considered the effects of the proposal on the health, safety, and welfare of the occupants of the
surrounding lands, existing and anticipated traffic conditions, and the effect on values of properties in
the surrounding area and consistency with the Comprehensive Plan, and hereby recommends approval
of the request subject to the following findings and conditions:
a. The standards for granting a conditional use permit would be met, subject to the conditions
stated.
b. The proposed building and site improvements shall comply with the standards of the R-2
district and the Zoning Ordinance.
c. The Applicant must obtain all necessary permits for any construction that would be needed.
d. The conditional use permit shall remain in effect as long as the conditions required by the
permit are observed. Any expansion or intensification of a conditional use or change to
another conditional use requires approval of a new conditional use permit.
e. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall
be deemed null and void.
f. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use
permit must be applied for.
The City Council of the City of Hutchinson reviewed the requested conditional use permit at its
meeting on November 25, 2014, and has considered the recommendation and findings of the Planning
Findings of Fact — Resolution # 14345
55 North High Dr. NE Conditional Use Permit
Page 2
Commission and hereby does recommend approval of the conditional use permit, subject to the
following findings and conditions:
a. The standards for granting a conditional use permit would be met, subject to the conditions
stated.
b. The proposed building and site improvements shall comply with the standards of the R-2
district and the Zoning Ordinance.
c. The Applicant must obtain all necessary permits for any construction that would be needed.
d. The conditional use permit shall remain in effect as long as the conditions required by the
permit are observed. Any expansion or intensification of a conditional use or change to
another conditional use requires approval of a new conditional use permit.
e. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall
be deemed null and void.
f. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use
permit must be applied for.
APPLICABLE LAW
6. The conditional use permit request meets the following standards as required in Section 154.170 of
the City of Hutchinson Municipal Code:
(a) The proposed building or use at the particular location requested is necessary or desirable to
provide a service or a facility which is in the interest of the public convenience and will
contribute to the general welfare of the neighborhood or community;
(b) The proposed building or use will not have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities and other matters
affecting the public health, safety and general welfare; and
(c) The proposed building or use will be designed, arranged and operated so as to permit the
development and use of neighboring property in accordance with the applicable district
regulations.
CONCLUSIONS OF THE LAW
7. The requested conditional use permit is consistent with the comprehensive plan.
8. The proposed use will not have a substantial or undue adverse effect upon adjacent property,
character of the neighborhood, traffic conditions, utility facilities and other matters affecting the
public health, safety and general welfare.
9. The proposed use will be designed, arranged and operated so as to permit the development and use of
neighboring property in accordance with the applicable district regulations
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Hutchinson, Minnesota, that the
application to issue a conditional use permit allowing the construction of a 1,500 sq. ft. detached garage located
at 55 North High Dr. NE, Hutchinson MN is approved.
Adopted by the City Council this 25th day of November, 2014.
Findings of Fact — Resolution # 14345
55 North High Dr. NE Conditional Use Permit
Page 3
ATTEST:
Marc Sebora Steven W. Cook
City Administrator Mayor
HUTCHINSON CITY COUNCIL
Request for Board Action
Agenda Item: Consideration of CUP for Storage 115 Erie St. SE
Department: Planning
LICENSE SECTION
Meeting Date: 11/2512014
Application Complete N/A
Contact: Dan Jochum
Agenda Item Type:
Presenter: Dan Jochum
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 5
License Contingency NIA
Attachments: Yes
BA CKGROUND/EXPLANA TION OF AGENDA ITEM:
Wildflower Properties, LLC is requesting a conditional use permit to allow a storage use and office for a transportation
and bus company located at 115 Erie Street SE in an IIC zoning district. A Conditional Use Permitted is required for
ail uses in IIC zoning districts, as noted in Section 154.066 of the Zoning Ordinance.
The Conditional Use Permit (CUP) is required for all uses in I/C zoning districts. The proposed use will be within a
previously existing lumber supply storage facility at 115 Erie St. SE in Hutchinson. The proposed use of a bus/vehicle
company storing their vehicles in this building when not in use appears to be a good re -use of the lumber supply
building. The applicant will be required to pave the front area of the building per City ordinance.
Nobody from the public spoke at the Public Hearing. Ian McDonald, representing Wildflower Properties, LLC
answered a couple of questions from the Planning Commissioners. Mr. McDonald indicated that water and sewer
service is going to be added to the building and that the applicant has started to move a few items into the building for
storage.
Staff noted that the address of the site should be 115 Erie St SE not 125 Erie St. SE. This is due to a mix-up in the
City's property information records.
The Planning Commission recommended approval of the CUP unanimously.
BOARD ACTION REQUESTED:
Approval of CUP.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $000 Funding Source:
DIRECTORS REPORT - PLANNING DEPARTMENT
x._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g..a. a. g'.3'.a'.a'.3'.a•.a. g. a' x. , . -,
To: Hutchinson Planning Commission
From: Mike Schumann, Dolf Moon, Mike Babe, Dave Hunstad, Lee Miller, Jeff Page, Jean Ward, Judy
Flemming, John Webster, John Olson, Lenny Rutledge, Kent Exner, John Paulson, Marc Sebora,
Dan Hatten, Dan Jochum, Andrea Schwartz, and Kyle Dimler.
Date: November 10, 2014, for November 18, 2014, Planning Commission Meeting
Application: CONSIDERATION OF CONDITIONAL USE PERMIT TO ALLOW A STORAGE USE
LOCATED AT 125 ERIE STREET SE IN THE I/C ZONING DISTRICT.
Applicant: WILDFLOWER PROPERTIES, LLC
CONDITIONAL USE PERMIT ALLOWING RECYCLE CENTER
Wildflower Properties, LLC is requesting a conditional use permit to allow a storage use and office for a
transportation and bus company located at 125 Erie Street SE in an PC zoning district. A Conditional Use
Permitted is required for all uses in PC zoning districts, as noted in Section 154.066 of the Zoning Ordinance.
Conditional Use Permit
125 Erie St. SE — Storage use
Planning Commission—11-18-14
Page 2
GENERAL INFORMATION
Existing Zoning: UC Industrial/Commercial
Property Location: 125 Erie St. SE
Lot Size: 16,905 sq. ft.
Existing Land Use: Vacant, previously lumber yard storage
Adjacent Land Use
And Zoning: R-3 Medium -High Density Residential, UC Industrial Commercial
Comprehensive
Land Use Plan: Medium Density Residential Neighborhood
Zoning History: Residential use with no recorded variances or conditional use permits
Applicable
Regulations: Section 154.066
Conditional Use Permit:
The Conditional Use Permit (CUP) is required for all uses in PC zoning districts. The proposed use will be
within a previously existing lumber supply storage facility at 125 Erie St. SE in Hutchinson. The proposed use
of a bus/vehicle company storing their vehicles in this building when not in use appears to be a good re -use of
the lumber supply building. The applicant will be required to pave the front area of the building per City
ordinance.
The following are standards for granting a conditional use permit:
(a) The proposed building or use at the particular location requested is necessary or desirable to provide
a service or a facility which is in the interest of the public convenience and will contribute to the
general welfare of the neighborhood or community;
(b) The proposed building or use will not have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities and other matters
affecting the public health, safety and general welfare; and
(c) The proposed building or use will be designed, arranged and operated so as to permit the
development and use of neighboring property in accordance with the applicable district regulations.
Conclusion:
1. The proposed structure is desirable and will contribute to the general welfare of the neighborhood in
the subject location as it will be consistent with other uses in the R-2 zoning district.
Conditional Use Permit
125 Erie St. SE — Storage use
Planning Commission—11-18-14
Page 3
2. The proposed building is not anticipated to have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities, and other matters
affecting the public health, safety, and general welfare as the use of the property will remain very
similar to the existing use of the property.
The proposed building will be designed, arranged, and operated so as to permit the development and
use of neighboring property in accordance with the applicable district regulations, just as they are
used today.
Recommendation:
Staff recommends the approval of this request to the Planning Commission due to the fact that the applicant's
request meets the standards for approving a conditional use permit provided above.
If the Planning Commission recommends approval of the applicant's request, staff suggests the following
conditions be part of the approval:
1. The standards for granting a conditional use permit would be met, subject to the conditions stated.
2. The proposed building and site improvements shall comply with the standards of the UC district and
the Zoning Ordinance.
3. The Applicant must obtain all necessary permits for any construction that would be needed.
4. The front of the building that is currently gravel will need to be paved with an approved surface.
5. SAC and WAC fees will need to be paid for the change in use.
6. The conditional use permit shall remain in effect as long as the conditions required by the permit are
observed. Any expansion or intensification of a conditional use or change to another conditional use
requires approval of a new conditional use permit.
7. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall be
deemed null and void.
8. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use permit
must be applied for.
CITY OF HUTCHINSON
MCLEOD COUNTY, MINNESOTA
RESOLUTION NO. 14346
RESOLUTION ADOPTING FINDINGS OF FACT AND REASONS FOR APPROVAL OF
CONDITIONAL USE PERMIT TO ALLOW A STORAGE USE LOCATED AT 115 ERIE STREET SE
IN AN UC ZONING DISTRICT.
FACTS
1. Wildflower Properties, LLC, is the owner of a parcel of land located at 115 Erie Street SE, Hutchinson
Minnesota; and,
2. The subject property is legally described as: Lot Nine (9) and the North 62 feet of Lot Eight (8),
Block Eighteen (18), Townsite of Hutchinson, South Half, Mcleod County, Minnesota.
3. Wildflower Properties has applied to the City for a conditional use permit to allow a storage use in an
PC zoning district located at 115 Erie Street SE, Hutchinson MN.
4. The Planning Commission met on November 18, 2014, and held a public hearing on the request and
considered the effects of the proposal on the health, safety, and welfare of the occupants of the
surrounding lands, existing and anticipated traffic conditions, and the effect on values of properties in
the surrounding area and consistency with the Comprehensive Plan, and hereby recommends approval
of the request subject to the following findings and conditions:
a. The standards for granting a conditional use permit would be met, subject to the conditions
stated.
b. The proposed building and site improvements shall comply with the standards of the PC
district and the Zoning Ordinance.
c. The Applicant must obtain all necessary permits for any construction that would be needed.
d. The front of the building that is currently gravel will need to be paved with an approved
surface.
e. SAC and WAC fees will need to be paid for the change in use.
f The conditional use permit shall remain in effect as long as the conditions required by the
permit are observed. Any expansion or intensification of a conditional use or change to
another conditional use requires approval of a new conditional use permit.
g. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall
be deemed null and void.
h. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use
permit must be applied for.
i. Any outdoor storage on the site in the future must be fenced and screened from neighboring
properties.
5. The City Council of the City of Hutchinson reviewed the requested conditional use permit at its
meeting on November 25, 2014, and has considered the recommendation and findings of the Planning
Commission and hereby does recommend approval of the conditional use permit, subject to the
following findings and conditions:
a. The standards for granting a conditional use permit would be met, subject to the conditions
stated.
Findings of Fact — Resolution # 14346
115 Erie St. SE Conditional Use Permit
Page 2
b. The proposed building and site improvements shall comply with the standards of the PC
district and the Zoning Ordinance.
c. The Applicant must obtain all necessary permits for any construction that would be needed.
d. The front of the building that is currently gravel will need to be paved with an approved
surface.
e. SAC and WAC fees will need to be paid for the change in use.
f The conditional use permit shall remain in effect as long as the conditions required by the
permit are observed. Any expansion or intensification of a conditional use or change to
another conditional use requires approval of a new conditional use permit.
g. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall
be deemed null and void.
h. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use
permit must be applied for.
i. Any outdoor storage on the site in the future must be fenced and screened from neighboring
properties.
APPLICABLE LAW
6. The conditional use permit request meets the following standards as required in Section 154.170 of
the City of Hutchinson Municipal Code:
(a) The proposed building or use at the particular location requested is necessary or desirable to
provide a service or a facility which is in the interest of the public convenience and will
contribute to the general welfare of the neighborhood or community;
(b) The proposed building or use will not have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities and other matters
affecting the public health, safety and general welfare; and
(c) The proposed building or use will be designed, arranged and operated so as to permit the
development and use of neighboring property in accordance with the applicable district
regulations.
CONCLUSIONS OF THE LAW
7. The requested conditional use permit is consistent with the comprehensive plan.
8. The proposed use will not have a substantial or undue adverse effect upon adjacent property,
character of the neighborhood, traffic conditions, utility facilities and other matters affecting the
public health, safety and general welfare.
9. The proposed use will be designed, arranged and operated so as to permit the development and use of
neighboring property in accordance with the applicable district regulations
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Hutchinson, Minnesota, that the
application to issue a conditional use permit allowing a storage use in an PC zoning district, located at 115 Erie
Street SE, Hutchinson MN is approved.
Adopted by the City Council this 25th day of November, 2014.
Findings of Fact — Resolution # 14346
115 Erie St. SE Conditional Use Permit
Page 3
ATTEST:
Marc Sebora
City Administrator
Steven W. Cook
Mayor
HUTCHINSON CITY COUNCIL C'eyof410�
Request for Board Action
Agenda Item: Consideration of a CUP for Storage at 135 Monroe St. SE
Department: Planning
Contact: Dan .lochum
LICENSE SECTION
Meeting Date: 11/25/2014
Agenda Item Type:
Application Complete N/A
Presenter: Dan Jochum
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
RACKGROUND/EXPLANATION OF AGENDA ITEM:
Wildflower Properties, LLC is requesting a conditional use permit to allow a storage use located at 135 Monroe Street
SE in an 1/C zoning district. The applicant is proposing to utilize the building furthest to the south for storage, as well
as a small portion of the larger building (southeastern portion). A Conditional Use Permitted is required for all uses in
I/C zoning districts, as noted in Section 154.066 of the Zoning Ordinance.
The Conditional Use Permit (CUP) is required for all uses in IIC zoning districts. The proposed use will be within a
previously existing lumber supply storage facility at 135 Monroe St. SE in Hutchinson. The applicant is requesting to
use the existing building situated furthest south on the side for storage. The building will be partitioned off into
"garage" spaces that will be rented out. In addition, the southeastern portion of the larger building is proposed to be
used for storage purposes and is included in this request. It is highly likely there will be another CUP needed to
establish a new use for the rest of the building on this lot. Staff believes this is a good re -use of a building that has
been vacant since Pro Build Lumber closed.
Nobody from the public spoke at the public hearing.
There was a brief discussion by the commissioners regarding access to the site. Staff noted there are two accesses
that can be used to get to this building, one of Monroe and the other off of 2nd Ave. 5E.
The Planning Commission unanimously recommended approval of this request.
BOARD ACTION REQUESTED:
Approval of CUP.
Fiscal Impact:
FTE Impact:
Included in current budget:
PROJECT SECTION:
Total Project Cost:
No
Funding Source:
Budget Change: No
Total City Cost: Funding Source:
Remaining Cost: $000 Funding Source:
DIRECTORS REPORT - PLANNING DEPARTMENT
x._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g._g..a. a. g'.3'.a'.a'.3'.a•.a. g. a' x. , . -,
To: Hutchinson Planning Commission
From: Mike Schumann, Dolf Moon, Mike Babe, Dave Hunstad, Lee Miller, Jeff Page, Jean Ward, Judy
Flemming, John Webster, John Olson, Lenny Rutledge, Kent Exner, John Paulson, Marc Sebora,
Dan Hatten, Dan Jochum, Andrea Schwartz, and Kyle Dimler.
Date: November 10, 2014, for November 18, 2014, Planning Commission Meeting
Application: CONSIDERATION OF CONDITIONAL USE PERMIT TO ALLOW A STORAGE USE
LOCATED AT 135 MONROE STREET SE IN AN I/C ZONING DISTRICT.
Applicant: WILDFLOWER PROPERTIES, LLC
CONDITIONAL USE PERMIT ALLOWING RECYCLE CENTER
Wildflower Properties, LLC is requesting a conditional use permit to allow a storage use located at 135 Monroe
Street SE in an PC zoning district. The applicant is proposing to utilize the building furthest to the south for
storage, as well as a small portion of the larger building (southeastern portion). A Conditional Use Permitted is
required for all uses in PC zoning districts, as noted in Section 154.066 of the Zoning Ordinance.
Conditional Use Permit
135 Monroe St. SE — Storage use
Planning Commission—11-18-14
Page 2
GENERAL INFORMATION
Existing Zoning: UC Industrial/Commercial
Property Location: 135 Monroe St. SE
Lot Size: 24,143 sq. ft.
Existing Land Use: Vacant, previously lumber yard storage
Adjacent Land Use
And Zoning: R-2 Medium Density Residential, UC Industrial Commercial
Comprehensive
Land Use Plan: Medium Density Residential Neighborhood
Zoning History: Residential use with no recorded variances or conditional use permits
Applicable
Regulations: Section 154.066
Conditional Use Permit:
The Conditional Use Permit (CUP) is required for all uses in PC zoning districts. The proposed use will be
within a previously existing lumber supply storage facility at 135 Monroe St. SE in Hutchinson. The applicant
is requesting to use the existing building situated furthest south on the side for storage. The building will be
partitioned off into "garage" spaces that will be rented out. In addition, the southeastern portion of the larger
building is proposed to be used for storage purposes and is included in this request. It is highly likely there will
be another CUP needed to establish a new use for the rest of the building on this lot. Staff believes this is a
good re -use of a building that has been vacant since Pro Build Lumber closed.
The following are standards for granting a conditional use permit:
(a) The proposed building or use at the particular location requested is necessary or desirable to provide
a service or a facility which is in the interest of the public convenience and will contribute to the
general welfare of the neighborhood or community;
(b) The proposed building or use will not have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities and other matters
affecting the public health, safety and general welfare; and
(c) The proposed building or use will be designed, arranged and operated so as to permit the
development and use of neighboring property in accordance with the applicable district regulations.
Conditional Use Permit
135 Monroe St. SE — Storage use
Planning Commission—11-18-14
Page 3
Conclusion:
1. The proposed structure is desirable and will contribute to the general welfare of the neighborhood in
the subject location as it will be consistent with other uses in the R-2 zoning district.
2. The proposed building is not anticipated to have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities, and other matters
affecting the public health, safety, and general welfare as the use of the property will remain very
similar to the existing use of the property.
The proposed building will be designed, arranged, and operated so as to permit the development and
use of neighboring property in accordance with the applicable district regulations, just as they are
used today.
Recommendation:
Staff recommends the approval of this request to the Planning Commission due to the fact that the applicant's
request meets the standards for approving a conditional use permit provided above.
If the Planning Commission recommends approval of the applicant's request, staff suggests the following
conditions be part of the approval:
1. The standards for granting a conditional use permit would be met, subject to the conditions stated.
2. The proposed building and site improvements shall comply with the standards of the UC district and
the Zoning Ordinance.
3. The Applicant must obtain all necessary permits for any construction that would be needed.
4. The conditional use permit shall remain in effect as long as the conditions required by the permit are
observed. Any expansion or intensification of a conditional use or change to another conditional use
requires approval of a new conditional use permit.
5. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall be
deemed null and void.
6. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use permit
must be applied for.
CITY OF HUTCHINSON
MCLEOD COUNTY, MINNESOTA
RESOLUTION NO. 14347
RESOLUTION ADOPTING FINDINGS OF FACT AND REASONS FOR APPROVAL OF
CONDITIONAL USE PERMIT TO ALLOW A STORAGE USE LOCATED AT 135 MONROE
STREET SE IN AN I/C ZONING DISTRICT.
FACTS
Wildflower Properties, LLC, is the owner of a parcel of land located at 135 Monroe Street SE,
Hutchinson Minnesota; and,
2. The subject property is legally described as: Lots Six (6), Seven (7), and Eight (8) in Block Seventeen
(17), Townsite (now City) of Hutchinson< South Half, Mcleod County, Minnesota, being in the
Northeast quarter of Section Six (6), Township One Hundred Sixteen (116), Range Twenty -Nine (29),
excepting from the above the Great Northern Railway right of way as it may intersect the described
lots, according to the plat thereof on file and of record in the office of the Register of Deeds in and for
said County and State.
3. Wildflower Properties has applied to the City for a conditional use permit to allow a storage use in and
PC zoning district, located at 135 Monroe Street SE, Hutchinson MN.
4. The Planning Commission met on November 18, 2014, and held a public hearing on the request and
considered the effects of the proposal on the health, safety, and welfare of the occupants of the
surrounding lands, existing and anticipated traffic conditions, and the effect on values of properties in
the surrounding area and consistency with the Comprehensive Plan, and hereby recommends approval
of the request subject to the following findings and conditions:
a. The standards for granting a conditional use permit would be met, subject to the conditions
stated.
b. The proposed building and site improvements shall comply with the standards of the PC
district and the Zoning Ordinance.
c. The Applicant must obtain all necessary permits for any construction that would be needed.
d. The conditional use permit shall remain in effect as long as the conditions required by the
permit are observed. Any expansion or intensification of a conditional use or change to
another conditional use requires approval of a new conditional use permit.
e. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall
be deemed null and void.
f. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use
permit must be applied for.
5. The City Council of the City of Hutchinson reviewed the requested conditional use permit at its
meeting on November 25, 2014, and has considered the recommendation and findings of the Planning
Commission and hereby does recommend approval of the conditional use permit, subject to the
following findings and conditions:
a. The standards for granting a conditional use permit would be met, subject to the conditions
stated.
Findings of Fact — Resolution # 14347
135 Monroe St. SE Conditional Use Permit
Page 2
b. The proposed building and site improvements shall comply with the standards of the PC
district and the Zoning Ordinance.
c. The Applicant must obtain all necessary permits for any construction that would be needed.
d. The conditional use permit shall remain in effect as long as the conditions required by the
permit are observed. Any expansion or intensification of a conditional use or change to
another conditional use requires approval of a new conditional use permit.
e. If the use ceases to operate for more than 365 consecutive days the conditional use permit shall
be deemed null and void.
f. If the proposed use fails to start operation within one year of the conditional use permit being
granted, the conditional use permit shall be deemed null and void and a new conditional use
permit must be applied for.
APPLICABLE LAW
6. The conditional use permit request meets the following standards as required in Section 154.170 of
the City of Hutchinson Municipal Code:
(a) The proposed building or use at the particular location requested is necessary or desirable to
provide a service or a facility which is in the interest of the public convenience and will
contribute to the general welfare of the neighborhood or community;
(b) The proposed building or use will not have a substantial or undue adverse effect upon adjacent
property, the character of the neighborhood, traffic conditions, utility facilities and other matters
affecting the public health, safety and general welfare; and
(c) The proposed building or use will be designed, arranged and operated so as to permit the
development and use of neighboring property in accordance with the applicable district
regulations.
CONCLUSIONS OF THE LAW
7. The requested conditional use permit is consistent with the comprehensive plan.
8. The proposed use will not have a substantial or undue adverse effect upon adjacent property,
character of the neighborhood, traffic conditions, utility facilities and other matters affecting the
public health, safety and general welfare.
9. The proposed use will be designed, arranged and operated so as to permit the development and use of
neighboring property in accordance with the applicable district regulations
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Hutchinson, Minnesota, that the
application to issue a conditional use permit allowing a storage use in an PC zoning district, located at 135
Monroe Street SE, Hutchinson MN is approved.
Adopted by the City Council this 25th day of November, 2014.
ATTEST:
Findings of Fact — Resolution # 14347
135 Monroe St. SE Conditional Use Permit
Page 3
Marc Sebora Steven W. Cook
City Administrator Mayor
HUTCHINSON CITY COUNCIL
ci=V�f�
Request for Board Action
79 M-W
Agenda Item: VVVVfF Solar PV Installation Project L4P15-04
Department: PW/Eng
LICENSE SECTION
Meeting Date: 11/25/0204
Application Complete N/A
Contact: Kent Exner
Agenda Item Type:
Presenter: Kent Exner
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
City staff requests that the City Council approve the appropriate Resolutions to set
a Public Hearing for the above
referenced letting at their December 9th meeting.
BOARD ACTION REQUESTED:
Approval of Resolutions
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost: $ 1,469,000.00
Total City Cost: $ 1,469,000.00 Funding Source: Utility & Grant Funds
Remaining Cost: $ 0.00 Funding Source:
RESOLUTION NO. 14331
RESOLUTION ORDERING PREPARATION OF REPORT ON IMPROVEMENT
LETTING NO. 3/PROJECT NO. 15-04
WHEREAS, it is proposed to improve:
Wastewater Treatment Facility Solar PV Installation by design, installation, implementation
and appurtenances for 400KW Solar PV System at the WWTF; and
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON,
MINNESOTA:
THAT, the proposed improvement, called Letting No. 4/Project No. 15-04, be referred to the Engineer for
study and that that person is instructed to report to the Council with all convenient speed advising the Council
in a preliminary way as to whether the proposed improvement is necessary, cost-effective, and feasible;
whether it should best be made as proposed or in connection with some other improvement; the estimated
cost of the improvement as recommended; and a description of the methodology used to calculate individual
assessments for affected parcels.
Adopted by the Council this 25th day of November 2014.
Mayor: Steven W. Cook
City Administrator: Marc A. Sebora
HUTCHINSON PUBLIC WORKS/ENGINEERING DEPARTMENT
Hutchinson City Center/111 Hassan St SE/Hutchinson MN 55350-2522/320-234-4209/FAX 320-234-4240
ENGINEERING REPORT & FEASIBILITY STUDY
TO:
Mayor & City Council
FROM:
Kent Exner, DPW/City Engineer
DATE:
November 25, 2014
SUBJECT:
Letting No. 4/Project No. 15-04
I have studied the following proposed improvements and find that the proposed project is feasible and recommend it
be constructed:
L4/P15-04 Wastewater Treatment Facility Solar PV Installation by design, installation, implementation and
appurtenances for 400KW Solar PV System at the WWTF.
ESTIMATED COST
TOTAL
Project Performance Contract Amount
$1,469,000
ESTIMATED TOTAL
$1,469,000
ESTIMATED FUNDING TOTAL
Xcel RDF Grant $958,369
City Funding $510,631
ESTIMATED TOTAL $1,469,000
RESOLUTION NO. 14332
RESOLUTION RECEIVING REPORT AND CALLING HEARING ON IMPROVEMENT
LETTING NO. 4/PROJECT NO. 15-04
WHEREAS, pursuant to a resolution of the Council adopted November 25th, 2014, a report has been
prepared by Kent Exner, Public Works Director/City Engineer with reference to the following proposed
improvements:
Wastewater Treatment Facility Solar PV Installation by design, installation, implementation
and appurtenances for 400KW Solar PV System at the WWTF; and
said report was received by the Council on November 25th, 2014.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON,
MINNESOTA:
1. The Council will considerthe improvement in accordance with the report at an estimated total cost
of the improvement of $1,469,000.00.
2. A public hearing shall be held on such proposed improvements on the 9th day of December, 2014,
in the Council Chambers of the Hutchinson City Center at 6:00 P.M., and the Clerk shall give mailed and
published notice of such hearing and improvements as required by law.
Adopted by the Hutchinson City Council this 25th day of November 2014.
Mayor: Steven W. Cook
City Administrator: Marc A. Sebora
PUBLICATION NO. 8082
NOTICE OF HEARING ON IMPROVEMENT
LETTING NO. 4
PROJECT NO. 15-04
TO WHOM IT MAY CONCERN:
Notice is hereby given that the City Council of Hutchinson, Minnesota, will meet in the Council Chambers of the
Hutchinson City Center, 111 Hassan Street SE, Hutchinson, MN, at 6:00 pm on the 9th day of December, 2014,
to consider the making of an improvement of Letting No. 4/Project No. 15-04, an improvement of:
Wastewater Treatment Facility Solar PV Installation by design, installation, implementation
and appurtenances for 400KW Solar PV System at the WWTF; and
pursuant to Minnesota Statutes, Sections 429.011 to 429.111.
The estimated City cost of said improvement is $510,631.00, and an estimate Xcel RDF Grant of
$958,369.00, for the total estimated cost of $1,469,000.00. A reasonable estimate of the impact of the
assessment will be available at the hearing. Such persons as desire to be heard with reference to the
proposed improvement will be heard at this meeting.
Dated: 11/25/2014
Marc A. Sebora, City Administrator
PLEASE NOTE: IT IS IMPORTANT THAT YOU ATTEND THIS HEARING, WHETHER YOU ARE FOR OR
AGAINST THE PROJECT, IN ORDER THAT YOUR COUNCIL CAN BE BETTER INFORMED OF A TRUE
REPRESENTATION OF OPINION.
PUBLISHED IN THE HUTCHINSON LEADER ON WEDNESDAY, NOVEMBER 26TH, 2014 AND ON
WEDNESDAY, DECEMBER 3RD, 2014.
HUTCHINSON CITY COUNCIL ci=V�f�
Request for Board Action 79 M-W
Agenda Item: Temporary Consumption & Display Permit - Hutchinson Center for the Arts
Department: Administration
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete Yes
Contact: Marc A. Sebora
Agenda Item Type:
Presenter: Marc A. Sebora
Reviewed by Staff ✓❑
Consent Agenda
Time Requested (Minutes):
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The Hutchinson Center for the Arts has submitted an application for a temporary consumption & display permit for an
event they are holding at the Center on December 6, 2014. The temporary permit would allow for patrons to bring in
their own liquor while attending the event. According to state law and city ordinance, a nonprofit organization is
eligible for a temporary consumption and display permit. The City can issue 10 consumption and display permits per
year and to date is still under that threshold. Upon Council approval, the application will be forwarded to the State
Alcohol and Gambling Enforcement Division for their approval.
BOARD ACTION REQUESTED:
Approve issuing temporary consumption & display permit to Hutchinson Center for the Arts on December 6, 2014.
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
Minnesota Department of Public Safety
Alcohol and Gambling Enforcement Division
'el D444 Cedar Street, Suite 222, St. Paul, MN 55101
651-201-7500 Fax 651-297-5259 T IY 651-282-5555
APPLICATION -AND PERMIT FOR A 1 DAY
Alec�ltnl RasnSliriti EClia�rcerr3e�t TEMPORARY CONSUMPTION AND DISPLAY PERMIT
(City or county may not issue more than 10 permits in any one year)
Name of organization Date organized Tax exempt number
Address City C State Zip Code
Minnesota �j'S'35U
Name of person making application Business phone Home phone
Dates) of event '
1'1
Add New
Organizatigfn)btticer`s name
Location where permit will be used. If an outdoor area, describe.
Type of organization
❑ Club ❑ Charitable ❑ Religious � Other non-profit
City State Zip
SLS 1Ainnesota5
APPROVAL
APPLICATION MUST BE APPROVED BY CITY OR COUNTY BEFORE SUBMFF"NG TO ALCOHOL AND GAMBLING ENFORCEMENT
City/County
City Fee Amount
Date Fee Paid
Signature City Clerk or County Official
Date Approved
it Date
Approved Director Alcohol and Gambling Enforcement
NOTE: Submit this form to the city or County 30 days prior to event. Forward application signed by City and/o= county to the address
above. If The application is approved the Alcohol and Gambling Enforcement Division will return this application to be used as the
permit for the event_
Sheet 3 of l
November 18, 2014
Dear City Council Members,
I would like to appoint Todd Brandel to the Police Civil Service Commission to fill the vacancy created
due to the resignation of Vern Meyer. This unexpired term will be to May 2016.
Todd is an eight year resident of Hutchinson and is the Director of Branch Operations at the Novation
Credit Union. Todd has gone through the Chamber's Leadership Institute, he is a Hutch Ambassador and
he currently serves on the United Way Board. Previously Todd has served on the Board of MN Credit
Union Network and he volunteers in a variety of other ways.
Todd will bring management and HR experience to the commission and Chief Hatten supports Todd's
appointment. I would appreciate your approval.
Sincerely,
Mayor Steve Cook
HUTCHINSON CITY COUNCIL 04,-fAa�
Request for Board Action 7AL =-ft
Consideration for Approval of Entering into a Contract with McLeod County for
Agenda Item:
the 2015 Property Assessment Services
Department: Finance
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter: Andy Reid
Reviewed by Staff ❑
Consent Agenda
Time Requested (Minutes): 1
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The City and County have partnered in the past to utilize the McLeod County Assessor's Office in determining
assessed values for tax parcels in the City of Hutchinson. The assessed values are the basis for determining the tax
liability of each parcel. The City currently does not have a separate mechanism for determining property values and
receives good value in partnering with the County for this service.
The contract rate for 2015 is $60,910.50, which is down $52.50 from the 2014 contract rate of $60,963. The 2015
billable rate is based on $10.50 per parcel with a total of 5,801 parcels.
BOARD ACTION REQUESTED:
Authorize the City Administrator to execute a contract to receive property assessment services from McLeod County
related to the City's 2015 tax levy.
Fiscal Impact: $ 60,910.50 Funding Source: 2015 General Fund Budget
FTE Impact: Budget Change: No
Included in current budget: Yes
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source: N/A
Remaining Cost: $ 0.00 Funding Source: N/A
CITY ASSESSMENT AGREEMENT
BETWEEN LOCAL UNIT AND COUNTY
THIS AGREEMENT is made and entered into by and between the City of
Hutchinson and the County of McLeod, State of Minnesota, this
21 st day of October , 2014 .
WHEREAS, the City of Hutchinson wishes to abolish the
Office of Assessor for said City, under the provisions of Minnesota Statues
Sections 273.024, and enter into an agreement with the County of McLeod to provide
for the assessment of the property in said City by the County Assessor: and
WHEREAS, it is the wish of said County to cooperate with said City to
provide for a fair and equitable assessment of property;
NOW, THEREFORE, IN CONSIDERATION OF THE MUTUAL
COVENANTS HEREIN CONTAINED, IT IS AGREED AS FOLLOWS:
1. That the City of Hutchinson which lies within the County
of McLeod and constitutes a separate assessment district, shall have its property assessed
by the County Assessor of McLeod County, beginning with the assessment of the year
2015
2. It is further agreed that the office of local assessor of the City of
Hutchinson is hereby abolished, pursuant to this agreement and shall
be until December 31, 2015
3. In consideration for said assessment services, the City of
Hutchinson hereby agrees to pay the County of McLeod the annual
sum of $60,910.50 , such payment to be made to the County Auditor
on or before December 1, 2015 5801 parcels c@ $10.50 per parcel
IN WITNESS WHEREOF, the parties have executed this agreement this
day of
In Presence Of:
In Presence Of:
For City:
Signed:
By
Attest
For Co -'
Signed;
By
Attest
CITY OF HUTCHINSON Check Register - Council Check Register Page: 1
Report Dates: 10/26/2014-11/8/2014 Nov 12, 2014 12:54PM
Report Criteria:
Transmittal checks included
Pay Period Journal Check Check
Date Code Issue Date Number Payee
Amount
11/08/2014
CDPT
11/12/2014
183413
HART
583.70-
11/08/2014
CDPT
11/12/2014
183414
NCPERS Minnesota
352.00-
11/08/2014
CDPT
11/12/2014
1112140
AFLAC
131.77-
11/08/2014
CDPT
11/12/2014
1112140
EFTPS
11,647.50-
11/08/2014
CDPT
11/12/2014
1112140
EFTPS
11,647.50-
11/08/2014
CDPT
11/12/2014
1112140
EFTPS
3,489.59-
11/08/2014
CDPT
11/12/2014
1112140
EFTPS
3,489.59-
11/08/2014
CDPT
11/12/2014
1112140
EFTPS
23,647.21-
11/08/2014
CDPT
11/12/2014
1112140
ICMA
1,505.00-
11/08/2014
CDPT
11/12/2014
1112140
ING
975.00-
11/08/2014
CDPT
11/12/2014
1112140
Minnesota Dept. of Revenue
10,371.73-
11/08/2014
CDPT
11/12/2014
1112140
MN Child Support System
41.87-
11/08/2014
CDPT
11/12/2014
1112140
MNDCP
250.00-
11/08/2014
CDPT
11/12/2014
1112140
PERA
11,347.43-
11/08/2014
CDPT
11/12/2014
1112140
PERA
11,347.43-
11/08/2014
CDPT
11/12/2014
1112140
PERA
5,523.27-
11/08/2014
CDPT
11/12/2014
1112140
PERA
8,284.89-
11/08/2014
CDPT
11/12/2014
1112140
PERA
36.16-
11/08/2014
CDPT
11/12/2014
1112140
PERA
36.16-
11/08/2014
CDPT
11/12/2014
1112140
PERA
1,815.55-
11/08/2014
CDPT
11/12/2014
1112140
TASC-Flex
225.00-
11/08/2014
CDPT
11/12/2014
1112140
TASC-Flex
1,322.25-
11/08/2014
CDPT
11/12/2014
1112141
TASC-HSA
4,226.17-
11/08/2014
CDPT
11/12/2014
1112141
TASC-HSA
3,553.44-
11/08/2014
CDPT
11/12/2014
1112141
TASC-HSA
913.44-
11/08/2014
CDPT
11/12/2014
1112141
TASC-HSA
592.24-
11/08/2014
CDPT
11/12/2014
1112141
TASC-HSA
849.22 -
Grand
Totals:
27
118,205.11-
CITY OF HUTCHINSON
Council Check Register -1
Check Issue Dates: 11/13/2014 - 11/25/2014 11/19/2014
Check Number
Check Date
Amount
Vendor
Account Description
183415
11/25/2014
1,737.28
ABETECH
Operating Supplies
183416
11/25/2014
569.63
ACE HARDWARE
Repair& Maintenance Supplies
183417
11/25/2014
394.82
AEM MECHANICAL SERVICES INC
Contractual R&M
183418
11/25/2014
291.00
ALEX AIR APPARATUS INC
Operating Supplies
183419
11/25/2014
53.44
ALPHA WIRELESS
Phone Services
183420
11/25/2014
174.78
AMERICAN BOTTLING CO
Cost of Sales - Miscellaneous
183421
11/25/2014
310.00
AMERICAN WATER WORKS ASSN
Dues & Subscriptions
183422
11/25/2014
20.53
AMERICAN WELDING & GAS
Automotive R&M
183423
11/25/2014
81.33
AMERIPRIDE SERVICES
Contractual R&M
183424
11/25/2014
119.00
ANIMAL MEDICAL CENTER ON CROW RIVER
Other Professional Services
183425
11/25/2014
145.75
ARCTIC GLACIER USA INC.
Cost of Sales - Miscellaneous
183426
11/25/2014
64.99
ARROWHEAD SCIENTIFIC INC
Operating Supplies
183427
11/25/2014
220.00
ARTISAN BEER COMPANY
Cost of Sales - Beer
183428
11/25/2014
7,855.30
ASSURANT EMPLOYEE BENEFITS
Dental Claims
183429
11/25/2014
567.63
B & C PLUMBING & HEATING INC
Contractual R&M
183430
11/25/2014
2,953.32
B. W. WELDING
Contractual R&M
183431
11/25/2014
100.00
BAHR, LYLE
Uniforms & Personal Equip
183432
11/25/2014
40.00
BAUMGARTEN, STEPHANIE
Recreation Activity Fees
183433
11/25/2014
115.00
BCA
Travel/Conference Expense
183434
11/25/2014
1,297.60
BELLBOY CORP
Cost of Sales - Beer
183435
11/25/2014
287.50
BERNICK'S
Cost of Sales - Miscellaneous
183436
11/25/2014
70.00
BOB AHLGREN ELECTRIC INC.
Contractual R&M
183437
11/25/2014
32.98
BOCK, CINDY
Uniforms & Personal Equip
183438
11/25/2014
1,520.25
BRAUN INTERTEC CORP
Other Professional Services
183439
11/25/2014
6,496.00
BURNHAM COMPANIES LLC
Inventory - Bulk Product
183440
11/25/2014
80.00
BUTLER, MATT
Recreation Activity Fees
183441
11/25/2014
12,886.54
C & L DISTRIBUTING
Cost of Sales - Beer
183442
11/25/2014
4,539.00
CARPETSPLUS COLOR TILE
Buildings & Structures
183443
11/25/2014
89.97
CARTER, RON
Uniforms & Personal Equip
183444
11/25/2014
131.51
CENTRAL HYDRAULICS
Equipment Parts
183445
11/25/2014
220.82
CENTRAL MCGOWAN
Repair & Maintenance Supplies
183446
11/25/2014
236.48
CORPORATE MECHANICAL
Contractual R&M
183447
11/25/2014
11.00
CORRA GROUP
Background Check
183448
11/25/2014
364.50
CREEKSIDE SOILS
Repair & Maintenance Supplies
183449
11/25/2014
409.37
CROW RIVER AUTO & TRUCK REPAIR
Automotive R&M
183451
11/25/2014
97.63
CROW RIVER PRESS INC
Printing & Publishing
183452
11/25/2014
154.96
CROW RIVER WINERY
Cost of Sales - Wine
183453
11/25/2014
4,405.20
DAY DISTRIBUTING
Cost of Sales - Beer
183454
11/25/2014
244.97
DIMLER, KYLE
Office Supplies
183455
11/25/2014
40.90
DROP -N -GO SHIPPING INC
Postage
183456
11/25/2014
240.00
E. G. RUD & SONS INC.
Other Professional Services
183457
11/25/2014
1,652.74
E2 ELECTRICAL SERVICES INC
Machinery & Equipment
183458
11/25/2014
196.12
ECOLAB PEST ELIMINATION
Contractual R&M
183459
11/25/2014
133.50
ELECTRONIC SERVICING
Contractual R&M
183460
11/25/2014
79.95
ENR
Dues & Subscriptions
183461
11/25/2014
3,034.00
ERICKSON ENGINEERING CO LLC
Other Professional Services
183462
11/25/2014
1,162.00
ESS BROTHERS & SONS
Equipment Parts
183463
11/25/2014
1,200.00
FACILITY DUDE
Software & Licensing
183464
11/25/2014
285.40
FARM -RITE EQUIPMENT
Automotive R&M
183465
11/25/2014
95.40
FASTENAL COMPANY
Repair & Maintenance Supplies
183466
11/25/2014
1,070.00
FIRE SAFETY USA INC
Small Tools & Minor Equipment
183467
11/25/2014
38.00
FIRST ADVANTAGE LNS OCC HEALTH SOLUTIONS
Drug Testing
183468
11/25/2014
339.00
FIRST CHOICE FOOD & BEVERAGE SOLUTIONS
Operating Supplies
183469
11/25/2014
447.52
FISHER SCIENTIFIC
Chemicals & Chemical Products
183470
11/25/2014
24.20
FLAGSHIP RECREATION LLC
Repair & Maintenance Supplies
183471
11/25/2014
319.14
G & K SERVICES
Operating Supplies
183472
11/25/2014
1,281.00
GEB ELECTRICAL INC
Contractual R&M
183473
11/25/2014
500.00
GIRLS FASTPITCH ASSOCIATION
Compost Bags
183474
11/25/2014
142.44
GLACIAL RIDGE WINERY
Cost of Sales -Wine
CITY OF HUTCHINSON
Council Check Register-1
Check Issue Dates: 11/13/2014 - 11/25/2014 11/19/2014
Check Number
Check Date
Amount
Vendor
Account Description
183475
11/25/2014
56.95
GRAINGER
Equipment Parts
183476
11/25/2014
725.00
GRS LOGISTICS LLC
Freight - Bagged
183477
11/25/2014
145.38
HANSEN TRUCK SERVICE
Equipment Parts
183478
11/25/2014
908.00
HANSON & VASEK CONSTRUCTION
Contracted Snow Removal
183479
11/25/2014
1,783.98
HATTEN, DANIEL
Travel/Conference Expense
183480
11/25/2014
671.00
HENDRICKSON & SONS PLUMBING LLC
Contractual R&M
183481
11/25/2014
238.46
HENRY'S WATERWORKS INC
Equipment Parts
183482
11/25/2014
200.08
HEWLETT-PACKARD CO
Small Tools & Minor Equipment
183483
11/25/2014
277.64
HILLYARD / HUTCHINSON
Operating Supplies
183484
11/25/2014
34.00
HOFF, RANDY
Miscellaneous Expense
183485
11/25/2014
402.70
HOLDEN ELECTRIC CO INC
Contractual R&M
183486
11/25/2014
535.00
HOLT TOUR AND CHARTER INC.
Operating Supplies
183487
11/25/2014
400.00
HRA
Admin/Loan Fees
183488
11/25/2014
1,700.00
HUTCH ELECTRIC LLC
Buildings & Structures
183489
11/25/2014
1,512.28
HUTCHFIELD SERVICES INC
Contractual R&M
183490
11/25/2014
12,295.88
HUTCHINSON CO-OP
Chemicals & Chemical Products
183491
11/25/2014
196.00
HUTCHINSON HEALTH
Other Professional Services
183492
11/25/2014
77,244.44
HUTCHINSON UTILITIES
Utilities
183493
11/25/2014
218.18
HUTCHINSON WHOLESALE
Equipment Parts
183494
11/25/2014
132.48
HUTCHINSON, CITY OF
Utilities
183495
11/25/2014
4,000.00
HUTCHINSON, CITY OF
ATM Replenish
183496
11/25/2014
5,938.89
IFCO SYSTEMS NA INC.
Inventory - Process Material
183497
11/25/2014
8.35
INDEPENDENT EMERGENCY SERVICES
Equipment Rental
183498
11/25/2014
913.87
JJ TAYLOR DIST OF MN
Cost of Sales - Beer
183499
11/25/2014
1,416.00
JLR GARAGE DOOR SERVICE
Improv otherthan Buildings
183500
11/25/2014
15,793.01
JOHNSON BROTHERS LIQUOR CO.
Cost of Sales - Miscellaneous
183501
11/25/2014
27,861.96
JOHNSON, COLLETTE
Loans Made
183502
11/25/2014
200.00
JORDAHL, JIM
Operating Supplies
183503
11/25/2014
1,138.00
KOSEK, JEFF
Contracted Snow Removal
183504
11/25/2014
770.06
L & P SUPPLY CO
Automotive R&M
183505
11/25/2014
315.00
LEAGUE OF MN CITIES
Travel/Conference Expense
183506
11/25/2014
37.20
LOCATORS & SUPPLIES
Safety Supplies
183507
11/25/2014
16,123.85
LOCHER BROTHERS INC
Cost of Sales - Miscellaneous
183508
11/25/2014
676.92
MACQUEEN EQUIP INC
Automotive R&M
183509
11/25/2014
30.00
MAKI, MICHELLE
Recreation Activity Fees
183510
11/25/2014
301.55
MAYTAG LAUNDRY & CAR WASH
Other Professional Services
183511
11/25/2014
35.00
MCCARTHY'S FLORAL
Miscellaneous Expense
183512
11/25/2014
4,800.00
MCLEOD COOP POWER ASSN
Contrib/Donation-PrivateSource
183513
11/25/2014
34,423.29
MCLEOD COUNTY AUDITOR-TREASURER
Street Maintenance Materials
183514
11/25/2014
190.00
MCLEOD COUNTY COURT ADMINISTRATOR
Bail
183515
11/25/2014
400.00
MCLEOD COUNTY COURT ADMINISTRATOR
Bail
183516
11/25/2014
104,026.59
MEDICA
Medical Insurance
183517
11/25/2014
1,313.29
MEEKER WASHED SAND & GRAVEL
Inventory - Bulk Product
183518
11/25/2014
639.82
MENARDS HUTCHINSON
Repair & Maintenance Supplies
183519
11/25/2014
30.00
MESSAGE MEDIA
Phone Services
183520
11/25/2014
7,488.00
MIDWEST PLAYSCAPES INC.
Operating Supplies
183521
11/25/2014
5,096.00
MILLWOOD INCORPORATED
Inventory - Process Material
183522
11/25/2014
77.25
MINI BIFF
Equipment Rental
183523
11/25/2014
1,660.55
MINNESOTA VALLEY TESTING LAB
Other Professional Services
183524
11/25/2014
689.38
M-K GRAPHICS
Office Supplies
183525
11/25/2014
200.00
MORRISON COUNTY COURT ADMIN
Other Revenues
183526
11/25/2014
20.00
MURPHY, SHEILA
Recreation Activity Fees
183527
11/25/2014
47.25
NAGEL, JOSEPH
Equipment Rental
183528
11/25/2014
1,544.00
NEW FRANCE WINE
Cost of Sales - Wine
183529
11/25/2014
4,100.00
NORTH STAR PUMP SERVICE
Contractual R&M
183530
11/25/2014
605.49
NORTHERN BUSINESS PRODUCTS
Operating Supplies
183531
11/25/2014
156.60
NORTHERN SAFETY TECHNOLOGY
Equipment Parts
183532
11/25/2014
629.70
OLD DOMINION BRUSH
Automotive R&M
183533
11/25/2014
65.00
OLESON,THERESA
Other Revenues
CITY OF HUTCHINSON
Council Check Register -1
Check Issue Dates: 11/13/2014 - 11/25/2014 11/19/2014
Check Number
Check Date
Amount
Vendor
Account Description
183534
11/25/2014
973.62
O'REILLY AUTO PARTS
Automotive R&M
183535
11/25/2014
4,026.05
PAUSTIS WINE COMPANY
Cost of Sales - Liquor
183536
11/25/2014
6,768.00
PEAT INC.
Inventory - Bulk Product
183537
11/25/2014
9,885.88
PHILLIPS WINE & SPIRITS
Cost of Sales - Miscellaneous
183538
11/25/2014
1,700.00
PLAISTED COMPANIES
Inventory - Bulk Product
183539
11/25/2014
18.90
POSITIVE ID INC
Due from Utilities
183540
11/25/2014
132.38
PTM DOCUMENT SYSTEMS
Operating Supplies
183541
11/25/2014
179.90
QUILL CORP
Office Supplies
183542
11/25/2014
1,957.34
RDO TRUST #80-5800
Contractual R&M
183543
11/25/2014
66.00
REDLINE SYSTEMS INC.
Automotive R&M
183544
11/25/2014
291.53
REFLECTIVE APPAREL FACTORY INC
Safety Supplies
183545
11/25/2014
6,012.50
REINER ENTERPRISES INC
Freight -in
183546
11/25/2014
238.04
ROYAL TIRE
Equipment Parts
183547
11/25/2014
27,000.00
SAFETY SIGNS
Operating Supplies (bike friendly)
183548
11/25/2014
204.00
SCHMANDT, LEROY
Public Safety Reimbursement
183549
11/25/2014
9,192.15
SCHOOL DIST # 423
Other Revenues
183550
11/25/2014
200.00
SCHWARTZ-SCHUERMAN, ERIN
Rentals -Building
183551
11/25/2014
30.00
SEAY, SONIA
Recreation Activity Fees
183552
11/25/2014
175.00
SHAW, KAREN
Other Professional Services
183553
11/25/2014
95.02
SHRED -IT USA INC
Refuse - Recycling
183554
11/25/2014
635.93
SIMPLEXGRINNELL LP
Contractual R&M
183555
11/25/2014
6,412.00
SMSC ENTERPRISES
Inventory - Bulk Product
183556
11/25/2014
76.30
SCRENSEN'S SALES & RENTALS
Automotive R&M
183557
11/25/2014
9,279.66
SOUTHERN WINE & SPIRITS OF MN
Cost of Sales - Liquor
183558
11/25/2014
11,627.11
SPARTAN STAFFING
Other Professional Services
183559
11/25/2014
89.00
SPS COMMERCE
Dues & Subscriptions
183560
11/25/2014
149.00
STANDARD PRINTING
Office Supplies
183561
11/25/2014
868.14
STAPLES ADVANTAGE
Operating Supplies
183562
11/25/2014
20.00
STOWE, DANIEL
Recreation Activity Fees
183563
11/25/2014
522.44
STRATEGIC EQUIPMENT AND SUPPLY
Operating Supplies
183564
11/25/2014
3,339.89
STREICH TRUCKING
Contractual R&M
183566
11/25/2014
1,341.05
THOMSON REUTERS -WEST
Other Professional Services
183567
11/25/2014
6.88
TITAN MACHINERY
Equipment Parts
183568
11/25/2014
262.20
TKO WINES
Cost of Sales - Wine
183569
11/25/2014
25,760.05
TREBELHORN & ASSOC
Motor Fuels & Lubricants
183570
11/25/2014
218.00
TRI COUNTY WATER
Operating Supplies
183571
11/25/2014
179.57
TRICK, JULIE
Rentals -Building
183572
11/25/2014
9,591.75
VIKING BEER
Cost of Sales - Beer
183573
11/25/2014
351.60
VIKING COCA COLA
Cost of Sales - Miscellaneous
183574
11/25/2014
569.64
VIKING SIGN & GRAPHICS INC
Equipment Parts
183575
11/25/2014
1,932.88
VINOCOPIA INC
Cost of Sales - Liquor
183576
11/25/2014
13,732.35
WASTE MANAGEMENT OF WI -MN
Refuse - Recycling
183577
11/25/2014
55,295.59
WASTE MANAGEMENT OF WI -MN
Refuse - Services
183578
11/25/2014
60.00
WELCOME NEIGHBOR
Advertising
183579
11/25/2014
41597.05
WELLS FARGO
Operating Supplies
183580
11/25/2014
4,700.00
WESTAFER ENTERPRISES
Advertising
183581
11/25/2014
246.30
WINE COMPANY, THE
Cost of Sales - Wine
183582
11/25/2014
8,405.90
WIRTZ BEVERAGE MINNESOTA
Cost of Sales - Liquor
183583
11/25/2014
2,160.80
WM MUELLER & SONS
Contractual R&M
Grand Totals:
636,688.10
CITY OF HUTCHINSON
Council Check Register -2
Check Issue Dates: 11/13/2014 - 11/25/2014 11/19/2014
Check Number
Check Date
Amount
Vendor
Account Description
183450
11/25/2014
92.78
CROW RIVER GLASS
Operating Supplies
183565
11/25/2014
4,535.00
TEN EIGHT HOLDINGS & CROW RIVER GLASS
Loans Made
Grand Totals:
4,627.78
HUTCHINSON CITY COUNCIL ci=V�f�
Request for Board Action 79 M-W
Agenda Item: Pavement Management Report
Department: PW/Eng
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete N/A
Contact: John Olson
Agenda Item Type:
Presenter: John Olson
Reviewed by Staff ❑
Communications, Requests
Time Requested (Minutes): 10
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
Since 1996, the City of Hutchinson has utilized a pavement management program to keep inventory and condition
information relating to the City's street system. Over the years, the City's stated goal has been to maintain overall
system-wide pavement condition index (PCI) scores of 65-75 out of a possible 100. Following the most recently
completed physical survey of street conditions, the PCI for the system was 71. We plan to have physical surveys
conducted on three-year cycles. Since inception, the PCI scores have been as follows:
2014-71
2011 -66
2007-69
2004-77
1996-72
In the past five years, approximately 7 million square feet of pavement (about 10% of the street system) has been
maintained. Sealing projects represent 78% of the work, while structural projects account for 22% of the work.
The estimated budget for maintaining pavements is estimated at approximately $2.35 million. The Public Works
department uses the Capital Improvement Plan as a tool to identify potential projects. The final configuration of
improvement projects is an involved process worked through by City staff, the Resource Allocation Committee and
the City Council. Initial plans outlined by the department indicate that it will be possible to maintain the target PCI
range of 65-75 in the next five years, assuming projects being considered at this time are able to be constructed.
BOARD ACTION REQUESTED:
No action necessary. For informational purposes..
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
November 4, 2014
City of Hutchinson
Public Works Department
Operations & Maintenance
1400 Adams St SE
Hutchinson, MN 55350
Phone (320) 234-4219 Fax (320) 234-6971
To: Honorable Mayor and City Council members
Marc Sebora, City Attorney/Interim City Administrator
Kent Exner, DPW/City Engineer
Andy Reid, Controller/Interim Finance Director
From: John Olson, Public Works Manager
Subject: 2015 Pavement Management Report (including 2014 construction)
Pavement Manazement
The City uses a pavement management system to collect and manage information about
pavement conditions. Since 1996, this system has helped the City manage its significant
investment in pavements. Of the approximately 91 miles of streets in Hutchinson, about 74 miles
are rated, which equates to about 1.5 million square yards of pavement. This pavement has a
construction replacement value of well over $100 million. Unrated streets include those under
the jurisdiction of the State or County, as well as streets under the City's jurisdiction that are not
paved or are not in service.
The pavement management system helps the City make the best use of available funds by
providing decision -makers with important information related to pavement maintenance. Using
this information, appropriate maintenance can be scheduled in a timely manner. For almost 20
years, the City has used pavement management system information to make effective decisions
about performing appropriate maintenance in a timely manner.
Pavement Condition Index (PCI)
PCI is calculated by physically surveying any distresses found on individual pavement sections.
PCI is based on a 100 -point scale (100 = no distresses, 0 = fully deteriorated street). The City's
stated goal has been to maintain an average system -wide PCI of between 65 and 75.
Surveys provide a snapshot of pavement conditions in time. Between physical surveys, standard
decay curves are applied to each pavement section and used to adjust scores to estimate PCI. The
last physical survey was completed in 2014. The next physical survey is scheduled for 2017.
Overall condition of the pavement network for the last five physical surveys is:
Physical surveys:
Year
2014
2011
2007
2004
1996
System -wide PCI rating
71
66
69
77
72
(Alt. 1, pp. 1-5: See attached tables for an overall view of system -wide pavement conditions)
Proiect Alternatives for Pavement Maintenance
There are a number of alternatives that can be used to rehabilitate and maintain pavements.
These commonly used alternatives are listed from most expensive to least expensive:
Strategy Estimated cost
Descri tin—per sq ft
New construction
$12.60
All new infrastructure (street, water, sewer) where none existed
Reconstruction
$12.60
All new infrastructure (street, water, sewer) in place of existing
Partial reconstruction
$ 8.60
Replace curb/gutter, street surface and drainage; minimal utility work
Reclaim
$ 4.60
Replace street surface & drainage; minimal curb/gutter & utility work
Overlay
$ 1.00
Grind off a portion of existing surface and resurface with new material
Seal coat
$ 0.15
Asphalt & aggregate surface application; no drainage & utility work
Replay sealant
$ 0.15
Polymerized agricultural based asphalt sealant
Crack Repair
$ 0.05
Rout and apply sealant to cracks or over -band larger cracks
Skim Patch
$ 2.50
Apply maintenance overlay on a small, distinct section of street
Partial Depth Patch
$ 3.50
Mill up to 3 "from small sections of distressed pavement, place new patching material
Pothole Patch (each, based on average sq ft)
$50.00
Fill potholes using hot mix or cold mix patching material
Proiect Development
Whenever possible, projects are developed to maximize the lifespan of associated pavements.
Ideally, low-cost maintenance treatments should be applied at critical points during the life of a
pavement. But, when the PCI drops too low, less expensive treatments are no longer an option.
Pavements eventually decay to the point where costly rehabilitation or reconstruction is the only
option.
In the past 5 years, projects have affected just over 7 million sq. ft. of pavement. The areas
affected by projects represent about 10% of the City's street network annually over the last 5 -year
period (Att. 2, pp. 1-8: See 5 -year project data attachment). The distribution of projects over the last 5
years was:
Structural projects (22%):
6% - Reclaim
6% - Reconstruction
7% - Overlay
2% - Partial reconstruction
I% - New construction
Maintenance projects (78%):
59% - Seal coat
19% - Replay sealant
If this mix of projects completed in the last 5 years were to continue into the future, it would take
about 10 years for all pavements to be affected by one of these types of projects.
The 5 -year Capital Improvement Plan (CIP) (Att. 3, pp. 1-2: See attached 5 -year CIP) includes projects
to address streets in marginal and poor condition. The CIP through 2019 should result in
maintaining an average PCI of 65-75. Actual PCI scores will be reviewed after physical surveys
are completed in 2017 and again in 2020.
The CIP also includes an annual allocation for pavement management projects. Pavement
management projects are designed to be flexible and allow for a variety of maintenance
treatments. The goal is to do the right treatment at the right time and at the lowest possible cost
in order to prolong the life of pavement. Of particular concern is performing appropriate
maintenance on pavements constructed since the late 1990's to maintain them in relatively good
condition at the least cost possible.
Other Factors
Another challenge to maintaining PCI's of 65-75 comes in the form of severe weather. There
have been some years when it has been necessary to secure additional funding to repair frost
damaged streets. In most cases, additional costs relate to local repairs, but in some cases, entire
blocks of street have required rehabilitation following significant frost damage.
Public Works staff maintains contact with the City Council, giving them regular updates relating
to any frost damaged streets.
Data Analysis & Budzet Recommendation
Of the 91 miles of streets in Hutchinson, about 78 miles are City streets (of which about 74
received PCI ratings). About 13 miles of street are operated by Mn/DOT or McLeod County.
The pavement network has grown at an annual pace of around 1.5% over the last 20 years
From initial estimates, it appears likely that the average PCI will remain within the 65-75 range,
provided anticipated spending levels remain and provisions are made in the future to account for
inflationary factors.
Public Works staff focus on maintenance of streets in Good and Excellent condition. Generally,
streets rated Adequate are evaluated to determine whether improvements may be made at
reasonable costs to increase their PCI scores. Streets in Marginal or Poor condition are typically
maintained for safety-related issues until such time as a rehabilitation project is warranted.
Using data collected during the most recent physical survey, the pavement management program
is set to look out over a 20 -year period to determine the most economically advantageous 5 -year
project list. To further refine the budget, calculations are based on: 1) maintaining the current
PCI; 2) increasing PCI by 10%; and 3) decreasing PC I by 10%. Projects that appear in all three
selections demonstrate economic value and a positive effect on system -wide PCI.
The budget for pavement projects ends up at around $2.35 million per year. Annual spending for
pavement projects has historically been below this estimate because limited funds available for
capital projects are often needed for new construction, utility projects or other municipal projects
that have little or no affect on PCI ratings.
Recommended funding targets are:
Reconstruction/partial reconstruction $ 925,000
Reclaim & Overlays 1,110,000
Seal Coat 115,000
Capital Improvements $ 2,150,000
Neighborhood maintenance $ 110,000
Patching 60,000
Crack repair 30,000
General Funds $ 200,000
Pavement Projects* $2,350,000
*represents a reduction from the last report
Recommended Proiects
Using the three budget scenarios, the projects identified on the attached map were selected (Att.4,
pp. 1-4: see attached project map). These project areas were selected in all three scenarios, which
indicates these projects will have positive, long-term impact on the system -wide PCI and are
economically effective. Many of the projects have been previously identified by Public Works
staff and are already accounted for within the City's current 2015-2019 Capital Improvement
Plan.
Condition Ratings (2014 Physical Survey)
X 00-35 MARGINAL: 36 -50 ADEQUATE. 51-70 _; 71,85 $5-100
PCI by City Quadrant
Length
Miles
%%
Area
2011
2014
Northwest
73,973
14.0 mi
15.5%
2,375,685
64
7.8 mi
Northeast
44,127
8.4 mi
9.3%
1,623,311
67
13.4%
Southwest
171,703
32.5 mi
35.9%
5,760,958
64
64
Southeast
99,557
18.8 mi
2oat.
3,654.078
.
I
Rated Streets
389,361
73.7 mi
81.4%
13,414,033
66
Northwest
27,815
5.3 mi
5.9%
1,343,244
n/a
n/a
Northeast
12,804
2.4 mi
2.4%
647,049
n/a
n/a
Southwest
33,114
6.3 mi
6.3%
1,323,236
n/a
n/a
Southeast
14,570
2.8 mi
2.8%
564,978
n/a
n/a
Streets not rated*
88,303
16.7 mi
18.6%
3,878.508
n/a
da
Total Network
477,664
90.5 mi
1 t.
17.292.541
PCI by Street Designation
Length
Miles
%%
Area
2011
2014
Local Roads (neighborhoods)
293,727
55.6 mi
61.5%
9,777,087
69
70
MSA streets (priority routes)
60,990
11.6 mi
12.8%
2,424,396
63
67
Co Rd (**see below)
7,306
1.4 mi
1.5%
233,880
7
Co Rd turnback (***see below)
16,042
3.0 mi
3.4%
501,240
60
y
CSAH turnback (2"d/lefferson)
10,204
1.9 mi
2.1%
406,532
41
Trk Hwy turnback (Washington Av)
1,093
0.2 mi
0.2%
70,898
Total Rated Streets
389,361
73.7 mi
81.4%
13,414,033
66
7
City streets
20,041
3.8 mi
4.2%
412,527
n/a
n/a
Mn/DOT streets
35,544
6.7 mi
7.4%
2,293,677
n/a
n/a
County streets
32,718
6.2 mi
6.9%
1,172,304
n a
n/a
Streets not rated*
88,303
16.7 mi
18.6%
3,878.508
n/a
n/a
Total Network
477,664
90.5 mi
100.0%
17,292,541
(*Streets not rated includes Mn/DOT & McLeod County streets, gravel streets, and undeveloped
streets)
(**Adams, South Grade W of School Rd)
(***5`h Ave NW, 12`h Ave NW, portion of Dale St SW, Golf Course Rd NW, portion of South Grade Rd SW)
PCI by Construction Year
<1970:
1971-1975:
1976-1980:
1981-1985:
1986-1990:
1991-1995:
1996-2000:
2001-2005:
2006-2010:
2011-2014:
Totals
Att. 1 Page 1
Length Miles %%
35,705
6.8 mi
9.2%
18,313
3.5 mi
4.7%
27,219
5.2 mi
7.0%
37,089
7.0 mi
9.5%
41,288
7.8 mi
10.6%
56,014
10.6 mi
14.4%
52,281
9.9 mi
13.4%
41,028
7.8 mi
10.5%
43,023
8.1 mi
11.0%
37.401
7.1 mi
9.6%
389.361 73.7 mi 1 0. °o
Area 2011 2014
1,255,483
56
64
620,510
b
69
921,725
48
50
1,244,171
53
44
1,410,368
54
49
1,949,126
70
1,785,835
1,367,793
1,538,033
1.320.989
45
13.414 033 �i6
PCI Breakdown. Related Areas - by Survev Year
Condition by % of area
1996
2004
2007
2011
2014
Change
10.1%
8.8%
6.1%
16.7%
14.4%
- 2.3%
Marginal condition
6.4%
6.6%
8.7%
11.8%
8.5%
- 3.3%
Adequate condition
16.7%
15.3%
24.5%
17.0%
16.1%
- 0.9%
Goad.W
32.7%
22.5%
32.0%
22.9%
20.6%
- 2.3%
34.1%
46.8%
28.7%
31.6%
40.4%
+ 8.8%
Network PCI
Att. 1 Page 2
72 77 69 66 71
PCI = 100
PCI = 80
Att. 1 Page 3
PCI = 70
PCI = 50
Att. 1 Page 4
PCI = 40
PCI =10
Att. 1 Page 5
PCI = 40
7
Pavement Proiects 5 -year (2010-2014)
Year Street
Section
2012 les Kouba Pkwy NW
(Montana St NW to Lind St NW)
2014 Michael Ct NW
(North High Dr NW to Dead End)
2014 Cleveland Ave SW
(Dead End to Keith St SW) - cul-de-sac
2010 Washington Ave E
2012 5`h Ave NW
2013 Jefferson St SE
2014 Jefferson St SE
2011 School Rd NW
Att. 2 Page 1
(Main St to Adams St)
(Kouwe St NW to Main St N)
(Oakland Ave SE to Washington Ave E)
(Century Ave SE to Oakland Ave SE)
(Hwy 7 W to Golf Course Rd NW)
Project type
Project SF
New construction
26,253
New construction
14,737
New construction
6,360
Total New constructon
47,350
Reconstruction
73,076
Reconstruction
108,892
Reconstruction
167,302
Reconstruction
90,618
Total Reconstruction
439,888
Partial reconstruction
171,984
Total Partial Reconstruction
171,984
Pavement Projects 5 -year (2010-2014)
Year Street
Section
Project type
Project SF
2011 Bradford St SE
(358'W of Sherwood St SE to Sherwood St SE)
Reclaim
11,628
2011 Industrial Blvd SE
(Michigan St SW to E of Eastgate Dr SW)
Reclaim
30,522
2011 Jackson St SW
(McDonald Dr SW to Roberts Rd SW)
Reclaim
20,340
2011 James St NW
(Hwy 7 W to 5th Ave NW)
Reclaim
20,023
2011 Kouwe St NW
(Hwy 7 W to 5`h Ave NW)
Reclaim
24,870
2011 Roberts Rd SW
(658'S of McDonald Or SW to McDonald Dr SW)
Reclaim
21,645
2011 Water St NW
(Hwy 7 W to 5" Ave NW)
Reclaim
23,488
2012 11" Ave NE
(Main St N to Elm St NE)
Reclaim
26,613
2012 Ash St NE
(McLeod Ave NE to Northwoods Ave NE)
Reclaim
48,135
2012 Maple St NE
(College Ave NE to Northwoods Ave NE)
Reclaim
29,018
2012 Northwoods Ave NE
(Maple St NE to Spruce St NE)
Reclaim
10,710
2012 Oak St NE
(Northwoods Ave NE to 9`h Ave NE)
Reclaim
16,440
2012 Service Rd — 1
(Main St N to Main St N)
Reclaim
11,660
2014 Dale St SW
(County Rd 7 to Century Ave SW)
Reclaim
66,800
2014 TH 15 Service Rd
(Freemont Ave SE to Echo Dr SE)
Reclaim
43,411
2014 Lynn Rd SW
(South Grade Rd SW to Clinton Ave SW)
Reclaim
17,810
Total Reclaim 423,113
Att. 2 Page 2
Pavement Projects 5 -Year (2010-2014)
Year Street
Section
Protect type
Project SF
2013 Brown St SW
(Hwy 15 S to Division Ave SW)
Mill -overlay
54,199
2013 Franklin St SW
(Hwy 15 S to 5`h Ave SW)
Mill -overlay
66,147
2013 Glen St SW
(Linden Ave SW to 5`h Ave SW)
Mill -overlay
51,954
2013 Grove St SW
(Hwy 15 S to 51" Ave SW)
Mill -overlay
74,869
2013 Miller Ave SW
(Lynn Rd SW to Main St S)
Mill -overlay
53,664
2013 Milwaukee Ave SW
(Lynn Rd SW to Main St S)
Mill -overlay
60,542
2013 Lynn Rd SW
(Clinton Ave SW to Washington Ave W)
Mill -overlay
158,646
Total Mill -overlay 520,021
2010 2na Ave SW
(Lake St SW to Franklin St SW)
Seal coat
151,017
2010 3`d Ave SE
(Adams St SE to Erie St SE)
Seal coat
26,111
2010 3`d Ave SW
(East Pishney Ln SW to Lynn Rd SW)
Seal coat
27,595
2010 4m Ave SE
(Adams St SE to Dead end)
Seal coat
53,749
2010 4m Ave SW
(Dale St SW to Lynn Rd SW)
Sea I coat
53,511
2010 5`h Ave SW
(Dale St SW to Merrill St SW)
Seal coat
35,568
2010 Century Ave SW
(Dale St SW to Boston St SW)
Seal coat
131,955
2010 Dale St SW
(Roberts Rd SW to 2nd Ave SW)
Seal coat
69,491
2010 Dale St SW
(Century Ave SW to South Grade Rd SW)
Seal coat
44,739
2010 Erie St SE
(Cul-de-sac to 1' Ave SE)
Seal coat
69,286
2010 Golf Course Rd NW
(School Rd NW to Montana St NW)
Seal coat
84,841
2010 Huron St SE
(Cul-de-sac to 2nd Ave SE)
Seal coat
54,087
2010 Juergens Rd SW
(Merrill St SW to Lynn Rd SW)
Seal coat
21,264
2010 Juul Rd SW
(Dale St SW to Lynn Rd SW)
Seal coat
59,418
2010 Market St SW
(Denver Ave SW to Century Ave SW)
Sealcoat
44,419
2010 Michigan St NE
(RR tracks to Hwy 7 E)
Seal coat
49,854
2010 Michigan St SE
(5" Ave SE to RR tracks)
Seal coat
87,087
2010 Monroe St SE
(Fair Ave SE to 1" Ave SE)
Seal coat
107,117
2010 South Grade Rd SW
(School Rd SW to Hwy 15 S)
Seal coat
213,631
Att. 2 Page 3
Pavement Projects 5 -year (2010-2014)
Year Street
Section
Project type
Project SF
2012 1"t Ave NW
(Cedar Ave NW to Main St N)
Seal coat
41,177
2012 3rd Ave NW
(Montana St NW to Main St N)
Seal coat
125,780
2012 5th Ave NE
(Main St N to Bluff St NE)
Seal coat
94,196
2012 9th Ave NE
(Main St N to Elm St NE)
Seal coat
26,555
2012 Calgary to SE
(Ottawa Ave SE to Edmonton Ave SE)
Seal coat
8,362
2012 Carlisle St NE
(Dead end to 6" Ave NE)
Seal coat
17,963
2012 Cedar Ave NW
(1' Ave NW to Glen St NW)
Seal coat
16,258
2012 Clark St NE
(5th Ave NE to 6" Ave NE)
Seal coat
26,592
2012 Denver Ave SE
(Sherwood St SE to Summerset to SE)
Seal coat
32,007
2012 Echo Cir SE
(Freemont Ave SE to Oakland Ave SE)
Seal coat
11,955
2012 Edmonton Ave SE
(Hwy 15 S to Grant Ave SE)
Seal coat
189,554
2012 Franklin St NW
(Washington Ave W to 2nd Ave NW)
Seal coat
27,413
2012 Franklin St SW
(2nd Ave SW to Washington Ave W)
Seal coat
33,321
2012 Glen St NW
(Washington Ave W to Cedar Ave NW)
Seal coat
22,774
2012 Goebel Cir SW
(Dead end to Roberts Rd SW)
Seal coat
11,421
2012 Goebel St SW
(Graham St SW to Milwaukee Ave SW)
Seal coat
19,049
2012 Grant Ave SE
(Edmonton Ave to Edmonton Ave SE)
Seal coat
27,894
2012 Griffin Ave NE
(Main St N to Maple St NE)
Seal coat
48,949
2012 Grove St NW
(Washington Ave W to Dead end)
Seal coat
9,828
2012 Harmony Ln SW
(2nd Ave SW to Lynn Rd SW)
Seal coat
44,245
2012 Hassan St SE
(Selchow Ave SE to Oakland Ave SE)
Seal coat
40,422
2012 Jorgenson St SE
(Century Ave SE to Hassan St SE)
Seal coat
86,527
2012 Kay St SW
(Goebel St SW to Roberts Rd SW)
Seal coat
26,563
2012 Lincoln Ave SW
(Harmony to SW to Lynn Rd SW)
Seal coat
26,567
2012 Maple St NE
(10`h Ave NE to North High Or NE)
Seal coat
18,120
2012 Milwaukee Ave SW
(Graham St SW to Dale St SW)
Seal coat
24,543
2012 Oak St NE
(McLeod Ave NE to Northwoods Ave NE)
Seal coat
42,813
2012 Ottawa Ave SE
(Sherwood St SE to Toronto Blvd SE)
Seal coat
67,690
2012 Prospect 5t NE
(51h Ave NE to 6th Ave NE)
Seal coat
26,641
Att. 2 Page 4
Pavement Projects 5 -year (2010-2014)
Year Street
Section
Pro iecttype
ProiectSF
2012 Rose Ln NE
(Dead end to 5`h Ave NE)
Seal coat
12,788
2012 Selchow Ave SE
(Jorgenson St SE to Jefferson St SE)
Seal coat
25,645
2012 Service Rd -2
(School Rd NW to Montana St NW)
Seal coat
99,536
2012 Southfork Dr SE
(Jefferson St SE to Dead end)
Seal coat
52,280
2012 Summerset Ln SE
(Bradford St SE to Denver Ave SE)
Seal coat
51,153
2012 Sunburst Way SE
(Summerset Ln SE to Denver Ave SE)
Seal coat
19,596
2012 Toronto Blvd SE
(Ottawa Ave SE to Jefferson St SE)
Seal coat
8,796
2014 4th Ave SE
(Main St S to Adams St SE)
Seal coat
43,479
2014 7th Ave NW
(Shady Ridge Rd NW to School Rd NW)
Seal coat
36,383
2014 7th Ave NW
(California St NW to Minnesota St NW)
Seal coat
53,893
2014 8th Ave NW
(Colorado St NW to School Rd NW)
Seal coat
29,211
2014 8th Ave NW
(California St NW to Golf Course Rd NW)
Seal coat
38,618
2014 9th Ave SW
(Roberts St SW to Dead End)
Seal coat
29,925
2014 Campbell Ct NW
(Campbell Ln NW to Dead End)
Seal coat
11,672
2014 Campbell Ln NW
(Shady Ridge Rd NW to Shady Ridge Rd NW)
Seal coat
74,387
2014 Carolina Ave NW
(Colorado St NW to School Rd NW)
Seal coat
22,835
2014 Carolina Pkwy NW (N)
(Shiloh St NW to Louisiana St NW)
Seal coat
20,686
2014 Carolina Pkwy NW (S)
(Shiloh St NW to Louisiana St NW)
Seal coat
21,972
2014 Colorado Cir NW
(Dead End to Colorado St NW)
Seal coat
6,522
2014 Colorado Ct NW
(Dead End to Colorado St NW)
Seal coat
6,264
2014 Colorado St NW
(7th Ave NW to Dead End)
Seal coat
31,509
2014 Connecticut St NW
(Shady Ridge Rd NW to Campbell Ln NW)
Seal coat
57,557
2014 Fischer St SW
(Hayden Ave SW to Osgood Ave SW)
Seal coat
8,544
2014 Goebel St NW
(Dead End to Graham St SW)
Seal coat
35,848
2014 Golf View Ct NW
(8th Ave NW to Dead End)
Seal coat
5,646
2014 Graham St SW
(8th Ave SW to Roberts Rd SW)
Seal coat
51,118
2014 Hayden Ave SW
(Lake St SW to Fischer St SW)
Seal coat
27,811
2014 Hidden Cir SW
(Dead End to Roberts Rd SW)
Seal coat
14,981
2014 Hwy 15 Service Rd
(Echo Dr SE to Main St S)
Seal coat
22,658
Att. 2 Page 5
Pavement Proiects 5 -year (2010-2014)
Year Street
Section
Proiect type
Protea SF
2014 Lake St SW
(Roberts Rd SW to 2nd Ave SW)
Seal coat
63,713
2014 Larson St SW
(Goebel St SW to Roberts Rd SW)
Seal coat
26,480
2014 Lewis Ave SW
(Dead End to School Rd SW)
Seal coat
18,292
2014 Louisiana St NW
(7th Ave NW to 8th Ave NW)
Seal coat
30,686
2014 Mahogany Ct SW
(9th Ave SW to Roberts St SW)
Seal coat
27,649
2014 Maryland St NW
(Texas Ave NW to 7th Ave NW)
Seal coat
44,419
2014 Minneosta St NW
(Texas Ave NW to Golf Course Rd NW)
Seal coat
28,388
2014 Oakland Ave SE
(Main St 5 to Jefferson St SE)
Seal coat
40,135
2014 Osgood Ave SW
(Lake St SW to Dale St SW)
Seal coat
35,514
2014 Otter St SW
(South Grade Rd to Dead End)
Seal coat
52,662
2014 Rolling Oaks Ln NW
(Dead End to School Rd NW)
Seal coat
26,528
2014 Shady Ridge Rd NW
(7th Ave NW to North End)
Seal coat
43,875
2014 Shiloh St NW
(7th Ave NW to 8th Ave NW)
Seal coat
23,215
2014 Texas Ave NW
(California St NW to 5th Ave NW)
Seal coat
88,868
2014 Thomas Ave SW
(Lake St SW to Dale St SW)
Seal coat
28,786
2014 Wagner St NW
(8th Ave SW to Goebel St SW)
Seal coat
21,889
2014 Westwood Dr NW
(Dead End to Connecticut St NW)
Seal coat
16,924
2014 Willow Dr SW
(9th Ave SW t0 Dead End)
Seal coat
17,120
Total Seal coat
4,136,373
Att. 2 Page 6
Pavement Projects 5 -year (2010-2014)
Year
Street
Section
Proiect type
Project SF
2012
10" Ave NE
(11Y" Ave NE to Elm St NE)
Replay sealant
22,496
2012
6e' Ave NE
(Prospect St NE to Spruce Ct NE)
Replay sealant
7,504
2012
Alan St SW
(Roberts Rd SW to School Rd SW)
Replay sealant
43,303
2012
Charles St SW
(Roe Ave SW to Lewis Ave SW)
Replay sealant
13,197
2012
Circle Dr SW
(Alan St SW to Dead end)
Replay sealant
22,967
2012
Clark St NE
(5°h Ave NE to 6" Ave NE)
Replay sealant
26,592
2012
College Ave NE
(Main St N to Hillcrest Rd NE)
Replay sealant
66,928
2012
Elm St NE
(McLeod Ave NE to North High Dr NE)
Replay sealant
95,025
2012
Glen St NW
(3`d Ave NW to 4t'Ave NW)
Replay sealant
13,071
2012
Hackbarth St SE
(5" Ave SE to Industrial Blvd SE)
Replay sealant
29,915
2012
James St NW
(4" Ave NW to 5" Ave NW)
Replay sealant
20,023
2012
Kay St SW
(Roberts Rd SW to Lea Ave SW)
Replay sealant
15,588
2012
Kouwe St NW
(4°h Ave NW to 5" Ave NW)
Replay sealant
21,683
2012
Lea Ave SW
(Alan St SW to Larson St SW)
Replay sealant
20,428
2012
Lind St NW
(3`d Ave NW to 4r" Ave NW)
Replay sealant
10,662
2012
McLeod Ave NE
(Main St N to Prospect St NE)
Replay sealant
44,706
2012
Montana St NW
(Les Kouba Pkwy NW to Si" Ave NW)
Replay sealant
72,358
2012
Water St NW
(4t" Ave NW to 5t' Ave NW)
Replay sealant
23,488
2013
2od Ave NW
(Franklin St NW to Main St N)
Replay sealant
9,748
2013
2na Ave SE
(Arch St SE to Michigan St SE)
Replay sealant
19,029
2013
4t6 Ave SE
(Dead end to Adams St NE)
Replay sealant
12,155
2013
Carolina Ave NW
(Alaska Ct NW to California St NW)
Replay sealant
9,614
2013
Hanson Dr SW
(Dead end to Lyndale Ave SW)
Replay sealant
4,634
2013
Jefferson St SE
(City limits to Century Ave SW)
Replay sealant
122,680
2013
School Rd NW
(Hwy 7 W to Golf Course Rd NW)
Replay sealant
171,984
2013
Spruce Ct NE
(6" Ave NE to Dead end)
Replay sealant
5,907
2013
Texas Cir NW
(Texas Ave NW to Dead end)
Replay sealant
9,021
2013
Texas Ct NW
(Texas Ave NW to Dead end)
Replay sealant
8,812
2013
Alaska Ct NW
(Carolina Ave NW to Dead end)
Replay sealant
8,937
Att. 2 Page 7
Pavement Projects 5-year(2010-2014)
Year Street
Section
Project type
2014 Brown St SW
(Hwy 15 S to Division Ave SW)
Replay sealant
2014 Division Ave SW
(Grove St SW to Glen St SW)
Replay sealant
2014 Franklin St SW
(Hwy 15 5 to 5th Ave SW)
Replay sealant
2014 Glen St SW
(Hwy 15 5 to 5th Ave SW)
Replay sealant
2014 Grove St SW
(Hwy 15 S to 5th Ave SW)
Replay sealant
2014 Miller Ave SW
(Lynn Rd SW to Main St 5)
Replay sealant
2014 Milwaukee Ave SW
(Lynn Rd SW to Main St S)
Replay sealant
New construction
Reconstruction
Partial reconstruction
Reclaim
Mill -overlay
Sealcoat
Replay sealant
Total
Total area of City streets
Percent affected by project
Years to affect entire system with maintenance:
I,�i 5 ..1- :?
Total Replay sealant
5 -year totals- pavement area by project per year equivalent
Proiect SF
54,199
15,559
66,147
51,954
74,869
53,664
53,815
47,350 _ 5 =
9,470
1%
439,888 - 5 =
87,978
6%
171,984: 5 =
34,397
2%
423,113 _ 5 =
84,623
6%
520,021 _ 5 =
104,004
7%
4,136,373 - 5 =
827,275
59%
1,322,662 _ 5 =
264,532
19%
7,014,042 _ 5 =
1,402,808
100%
13,592,680
13, 592, 680
51.3% _ 5 =
10.3%
10 years
DRAFT - TO BE REVISED
2015
v
E
a
a
m
Y
=
TMP1300Pvmt
o
-
105,000
605;000
186,000
419,000
332,750
2016PMP-1300
605.000
2015
E
w
950;000
E E
1,149,500
484,500
2016
o-
1,149,500
2015
PMP -1303
oH
293,000
61,530
354,530
300,000 44,000
1(),530
PMP -1503
5th Ave SE (Main -Bridge)
354,530
n
Year
Proiect#
Descriob
u°
573,540
300,000 172,000
101,540
¢
C7
3
3
PMP -1502
0
0
,°
2015
2016
2015
TMP1300Pvmt
MRmt Onct- Golf Course Rd NW)
500.000
105,000
605;000
186,000
419,000
332,750
2016PMP-1300
605.000
2015
PMP -1302
2nd Ave SE bridee
950;000
199500
1,149,500
484,500
2016
665,000 Bridee bondine
1,149,500
2015
PMP -1303
2nd Ave SE (Main -Adams)
293,000
61,530
354,530
300,000 44,000
1(),530
PMP -1503
5th Ave SE (Main -Bridge)
354,530
2015
PMP -1304
2nd Ave SE (Adams-Bridee)
474,000
99,540
573,540
300,000 172,000
101,540
South Central Trunk Storm
330,600
573,540
2015
PMP -1502
5th Ave SW (Lynn -Main)
371,000
77,910
448,910
130,000
318,910
550,000
115,500
448,910
201_5
PMP -1_504
South Central Trunk Storm
403,000
84.630
487;630
Monroe/Adams St SE business pk
400,000
59,430
87,630
487,630
2_015
UTL-1300
Pvmt Mem[ Utilities
330,578
69422
400;000
330,578
69.422
150000 150,000
100,000
400.000
2015
UTL-1502
5th Ave Utilities
330;578
69.422
40 01000
97,000
500,000
200,000 200,000
400.000
2015
WW -1103
Automated Meter Readine Svstem
650,000
-
650,000
400.0001 1
1
650,000 1650,000
200,0001 200,000 1 1 1
400,000
UYAL 2015 4,3W,156 766,954 5,069.110 600,000 1 532,000 11 2,734,480 1,000,000 350,000 187,430j 665,000 5.069,110
2016
2016
PMP -1207
Seal coating
275,000
57.750
332,750.
332,750 Capital projects
332,750
2016PMP-1300
Pvmt Memt
500,000
105,000
605,000
186.000
419.000
605,000
2016
PMP -1501
Cent,Ave SETH 15 -Jeff)
742,000
155,820
897,820 600,000
180,000
117,820
897,820
2016
PMP -1503
5th Ave SE (Main -Bridge)
888,000
186,480
1,074,480
32D,000
754,480
1,074,480
2016
PMP -1504
South Central Trunk Storm
330,600
69,400
400,000-
400,000
4KOD0
2016
PMP -1602
Washington Ave W (Lynn -Main)
550,000
115,500
665,500
199,000
466,500
665.500
2016
PW -35
Monroe/Adams St SE business pk
283,000
59,430
342,430
102,700
239,730
342,430
2016
UTL-1300
Pvmt M mt Utilities
330,578
69.422
400,000
150,000 150,000 100,000
400,000
2016
UTL-1501
Centur Ave SE Utilities
403 000
97,000
500,000
250,000 250.000
500,000
2015
UTL-1502
15th Ave Utilities
330,578 1
69,422 1
400.0001 1
1
1
200,0001 200,000 1 1 1
400,000
2016
UTL-1601
I Meter Replacement Program
1 150,000 1
1
150.0001 1
1
1
150,000 I I I I i
150,000
TOTAL 2016JE 4,782.756 985.224 5,767,980 600,000 4 987.700 ll 1.997,530 750.000 600.000 SOO,tl00 332,750 5,767,980
Att. 3 Page 1
DRAFT - TO BE REVISED
2017
o
v
t;
�
m
- _-_-
2
E
3
0
-
_
105,000
605,000
186,000
419,000
PMP -1207
v
a
2017
PMP -1504
South Central Trunk Storm
330,600
69,400
400,000
UTL-1300
PvmtM mt Utilities
330,578
400,000
400,000
2017
PMP -1601
Roberts Rd SW (McDonald -Dale)
975,000
204,750
1,179.750
350,000
729,750
400,000
100,000 Federal aid
1,179,750
2017
Year
a Project#
Description
260,400
1,500;400
700,000 460,000
340,400
421,750 100,000 Federal aid
816,750
1,500,400
2017
PMP -1703
Linden Ave SW (Dale -Lynn)
400,000
84,000
2017
- _-_-
-- - -_-
2017
PMP -1300
Pvmt M mt
500,000
105,000
605,000
186,000
419,000
PMP -1207
Seal coating
605,000
2017
PMP -1504
South Central Trunk Storm
330,600
69,400
400,000
UTL-1300
PvmtM mt Utilities
330,578
400,000
400,000
2017
PMP -1601
Roberts Rd SW (McDonald -Dale)
975,000
204,750
1,179.750
350,000
729,750
400,000
100,000 Federal aid
1,179,750
2017
PMP -1701
School Rd SW SGR-Hwy7)
1,240,000
260,400
1,500;400
700,000 460,000
340,400
421,750 100,000 Federal aid
816,750
1,500,400
2017
PMP -1703
Linden Ave SW (Dale -Lynn)
400,000
84,000
484,000
149.000
335,000
2018
PMP -1802
484,000
2017
PMP -1704
Hassan St SE/NE (5th Av S -1st Av N)
400,000
84,000
484,000
149,000
335,000
Meter Replacement Program
150,000
484,000
2017
UTL-1300
I PP M mt Utilities
330,578
69,422
400,000
Undv Lo NE
265,000
150,000
150,000 100,000
400,000
2017
UTL-1701
School Rd SW Utilities
330,600
69.400
400,000
7,140
41,140
150,000
150,000 100.000
400,000
2017
UTL-1601
Meter Replacement Program
150,000
150,000
150,000
SS0000
150,000
OTA12017JL 11 4,656.778 546.372 5,4503,150 1 70,0011 1,294,000 2,159,150 450,OOp 300,000 600,000 lOP.000 0 5.603,150
2018
2018
PMP -1300
Pvmt M mt
500,000
105,000
605,000
186,000
419,000
605,000
2018
PMP -1207
Seal coating
275,000
57,750
332,750
332,750 Capital projects
332,750
2018
UTL-1300
PvmtM mt Utilities
330,578
69.422
400,000
190,575
150000 150,000 100,000
400,000
2018
UTL-1802
Dale St Utilities
330,578
69,422
400,000
174.240
iSQ000 150,000 100,000
400,000
2018
PMP -1702
McDonald Dr SW (Lakewood -School)
675,000
141,750
816,750
295,000
421,750 100,000 Federal aid
816,750
2018
PMP -1801
Dale St SW (Century -Roberts)
828,000
173,880
1001,880
500,000 308,000
193,880
1001880
2018
PMP -1802
Michigan St SE/NE (5th Ave-Hw 7)
378,000
79,380
457,380
140,616
316,764
457,380
2018
UTL-1601
Meter Replacement Program
150,000
SQ400
150,000l
I
1 150,000 1
150,000
OTAL 26183,457,156 s96sp4 4,163,760 500.000 929,615 1,351,394 450,000 300000 200,000 a32,750 4,163,760
2019
2019
PMP -1300
P"'tM mt
500,000
105,000
605.000
186,000
419,000
605,000
2019
UTL-1300
Nrot M mt Utilities
330,578
69,422
400.000
150,000 150,000 100,000
400,000
2019
PMP -1901
Shady Ridge Rd NW
525.000
110,250
635,250
190,575
444,675
635,250
2019
PMP -1902
Hilltop Dr NE
480,000
100,800
580.800
174.240
406,560
580.800
2019
PMP -1903
Morningside Dr NE
42,000
8,820
50,820
15,246
35,574
50.820
2019
PMP -1904
Pauls Rd NE
110.000
23.100
133,100
39,930
93,170
133,100
2019
PMP -1905
Mark Dr NE
102,000
21,420
123,420
37,026
86,394
123,420
2019
PMP -1906
lGarden Rd NE
240.000
SQ400
290.400
87,120
703 710
290,400
2019
PMP -1907
Undv Lo NE
265,000
55.650
320,650
96195
224,455
320.650
2019
PMP -1908
Genes Dr NE
34,000
7,140
41,140
12,342
28,798
41.140
2019
UTL-1601
Meter Replacement Program
150,000
150,000
150,000
150,000
TOTAL 2019E 11 11 12,778,578 552.002J 3,330,580 838.674 1,941,906 300,000 150,000 100,000 3.330,580
DRAFT - TO BE REVISED
Att. 4 Page 1
DRAFT - TO BE REVISED
r
DRAFT - TO BE REVISED
I �
1 ! �
! Ij
i
Att. 4 Page 3
t
i
DRAFT - TO BE REVISED
w�=
HUTCHINSON CITY COUNCIL C11yur
Request for Board ActionWz=p��
Agenda Item: DISCUSSION OF WAYFINDING SIGNAGE PROPOSAL
Department: Planning
LICENSE SECTION
Meeting date: 11125Y2014
Application Complete NIA
Contact: Dan Jochum
Agenda Item Type:
Presenter: Dan Jochum
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 10
License Contingency NIA
Attachments: Yes
6ACKGROUNDIEXPLAIVATION OFAGENDA ITEM:
As discussed back in June with the City Council, staff solicited proposals from three companies on a
wayfindinglgateway sign master plan for Downtown Hutchinson. This was one of the priorities listed in the Imagine
Hutchinson Downtown Plan that was adopted in 2013.
The City received 3 proposals from companies that do this kind of work. The companies were SEH, Inc., Hoisington
Koegler Group, Inc. (HKGI), and Signia Design. Staff reviewed these proposals in detail and ranked the proposals as
follows 1) HKGI 2) Signia Design 3) SFH, Inc -
City staff felt that the HKGI proposal was the best value for the work that would be done. The price of the HKGI
proposal was $18,750. The Signia Design price was $25,000. The SEH, Inc. proposal was $15,006. It is important
to nate that these proposals weren't "bids" so each proposal has a little bit different scope of work. For this reason it
was felt that the City would be getting the best value from the HKGI proposal for $18.750. It should be noted that
HKGI completed the last two Downtown Master Plans for Hutchinson and did a very nice job.
Staff has talked with the Economic Deveiopment Authority and Chamber of Commerce about a cost sharing
arrangement for this project. Since each of these entities will be getting a benefit from this master plan staff felt a
collaborative approach would be in everyone's best interest. Preliminary discussions are that the City could contribute
$10,000 to $12,004 for the project with the EDA and Chamber splitting the rest of the required project costs. The CDA
finance team and Board, as well as the Chamber Boards will be discussing the cost sharing in the next week or so.
Staff hopes to have an idea of what the cost sharing contributions could be prior to the Council meeting on November
25th. Staff has discussed this possible expenditure with the Finance Department and it was suggested that the
funding for this be taken from the Community Improvement Fund.
If you have any questions please let me know Please seethe attached proposal from HKGI.
BOARD ACTION REQUESTED;
Approval to spend up to $18,750 on wayfindinglgateway signage master plan with the Hoisington Koegler Group, Inc.
Fiscal Impact: $ 18,750.00 Funding Source: Community Improvement Fund
FTE Impact: Budget Change: No
Included in current budget: Na
PROJECT SECTION:
Total Project Cost: $ 18,750.00
Total City Cost: $ 12,000.00 Funding Source: Community Improvement Fund
Remaining Cost: $ 6,750.04 Funding Source: EDA/Chamber
Creative Solutions for Land Planning and Design
Hoisington Koegler Group Inc.
October 10, 2014
Dan Jochum, AICP
Director of Building, Planning, & Zoning
City of Hutchinson
111 Hassan Street SE
Hutchinson, MN 55350
Dear Dan and Members of the Selection Group,
On behalf of Hoisington Koegler Group Inc. (HKG0, we are pleased to submit this letter proposal to
provide professional design services related to the Wayfinding & Signage Master Plan for Downtown
Hutchinson. Our firm's familiarity with the community through our work on the Downtown Action Plan
in 2013 provides a strong foundation for the system level thinking and detailed design work needed for this
effort.
Beyond the planning and urban design aspects of our firm, we have a great track record of designing
wayfinding and signage for numerous communities and government entities (see our attached
supplemental Project Experience collection). HKGi will blend our understanding of Downtown
Hutchinson with our park system planning, urban design, streetscape design and wayfinding/ signage
design expertise to create a wayfinding/ signage master plan that is creative and unique, but also practical;
reflecting the history and identity of Downtown Hutchinson and the tremendous natural and recreational
resource of the Crow River. Our outstanding reputation for providing high quality landscape architecture,
detailed wayfinding/ signage design, material specification, and clear messaging will assure the
Wayfinding & Signage Master Plan for Downtown Hutchinson will be efficient, functional and timeless.
To complete this effort we offer the following work plan:
WORK PLAN
Phase 1: Detailed Analysis and Preliminary Design
The first phase will set the foundation for detailed design exploration and further our understanding of the
existing signage system and key destinations. We will begin with a Kick-off meeting with City Staff to
confirm the goals and objectives, tour the downtown and anticipated signage locations, collect site
photography and conduct an on-site assessment of the existing signage. We will also finalize the project
schedule and desired interaction with an anticipated Project Advisory Committee (PAC), to be established
by City Staff. HKGi will develop preliminary design ideas for signage and wayfinding and a
corresponding master plan for sign location, type, and character and then meet with the PAC to review
these preliminary ideas. Core tasks, meetings and deliverables for phase one include:
Core Tasks:
• Conduct an on-site assessment of all vehicular, bicycle, and pedestrian pathway signage details for
analysis and review
• Provide preliminary system design noting locations of all sign types
• Develop a preliminary signage design "hierarchy" based on the specific functions and needs
throughout the downtown
• Review materials with the City Staff & Project Advisory Committee
123 North Third Street, Suite 100, Minneapolis, MN 55401-1659
Ph(612)252.7135 Fx (612) 338.6838
Wayfinding & Signage Master Plan — Downtown Hutchinson
Page 2 of 3
October 10, 2014
Meetings:
• Kickoff Meeting with City Staff
o Confirm goals & objectives, and verify project schedule
o Collect any additional, necessary background data
o Conduct site tour/ assessment (with City staff if available) to identify preliminary
locations for gateway signs and wayfinding/ signage
o Collect site photography for preliminary locations, key intersections, key streets, and
document existing signage conditions (vehicular, pedestrian and bicycle)
• Design Workshop / Brainstorming Session
o hl this session we propose to work with local artists and the PAC to brainstorm and
generate ideas/ themes for the wayfinding/ signage (this could be a similar group to the
Focus Groups established in the Downtown Action Plan). We envision this as a 2-4 hour
interactive session (potentially at the Center for the Arts) to sketch, draw, model and map
potential locations, sign ideas, discuss the key destinations, the arrival experience to
downtown via automobile, bike or by foot, and physical means to accomplish the effort.
We believe integrating the community early in the process will spark creative ideas to
carry through to the schematic design process, deeply rooting the Wayfinding & Signage
Master plan into the identity and character of the community.
Project Advisory Committee Meeting 41
o Review Site Assessment
o Review conceptual wayfinding/ signage and gateway sign sketches/drawings
■ Identify materials, core dimensions, and character
■ Preliminary cost ranges
o Review preliminary gateway and wayfinding/ signage master plan with signage location
alternatives
• Conference Calls with City Staff as needed
Deliverables:
• Existing conditions analysis for all wayfinding/ signage
• Site photography of key gateway and wayfinding/ signage locations
• Preliminary wayfinding/ signage concepts for range of sign types — section/elevations(up to 3)
• Preliminary map(s) depicting all gateway and wayfingfing/ signage locations and placement
• Meeting summaries
Phase 2: Schematic Design & Preferred Master Plan
hl the second phase of work HKGi will develop a preferred wayfinding and signage master plan to review
with the PAC and City Staff. We will develop schematic designs of each sign type, provide an opinion of
probable cost, and develop a master plan map indicating sign placement and orientation. We will conduct
a community open house meeting for the public to evaluate and comment on the design alternatives and
potential signage locations. We will collect the feedback from the open house and present the information
to the Project Advisory Committee. Based on final direction from the PAC & City Staff, we will make
modifications and present the final document to the City Council. Core tasks, meetings and deliverables
for phase two include:
Core Tasks:
• Provide preferred wayfinding/ signage master plan depicting each sign location and type
• Provide preferred signage details, dimensions and specifications for each sign type
• Provide budget estimates for each sign type
Meetings:
Wayfinding & Signage Master Plan — Downtown Hutchinson
Page 3 of 3
October 10, 2014
• Community Open House
• Project Advisory Committee Meeting 42
o Review Open House feedback on concepts
o Review preferred wayfinding/ signage and gateway sign schematic designs
■ finalize materials, core dimensions, content, and character elements
■ provide opinion of probable cost on schematic sign design
o Review preferred wayfinding/ signage master plan indicating signage location and type
• Conference Calls with City Staff as needed
• City Council Meeting to present the Wayfinding & Signage Master Plan
Deliverables:
• Complete Wayfinding & Signage Master Plan
o Complete schematic designs for all desired sign types
o Complete map depicting all wayfindfing/ signage locations and placement
• City Council Presentation
PROPOSED FEES:
For this effort we will bill our services on an hourly basis for a not to exceed amount of $18,750.00.
Below is a breakdown by phase for fees.
Phase
Fee
Detailed Analysis & Preliminary Design
$8,350.00
Schematic Design & Preferred Master Plan
$9,500.00
Expenses (printing & mileage)
$900.00
Total $18,750.00
Hourly rates will be per our standard hourly rate schedule provided as Attachment A. Bryan Harjes will
serve as the project manager and lead designer and Gabrielle Grinde will serve as the landscape architect
supporting this effort. We estimate the project to take approximately 3-4 months to complete from time of
acceptance.
Thank you for the opportunity to submit this proposal. If you have any questions please feel free to
contact us, and if you find this proposal acceptable please sign and return and we will consider your
signature below as your authorization for us to proceed. We look forward to working with the City of
Hutchinson on this exciting project.
Sincerely,
Bryan Harjes RLA, LEED AP
Principal
612.252.7124 or bharjeskhkgi.com
Date:
City of Hutchinson Representative
HUTCHINSON CITY COUNCIL ci=V�f�
Request for Board Action 79 M-W
Agenda Item: Contribution to The Hutchinson Center For the Arts
Department: City Council
LICENSE SECTION
Meeting Date: 11/28/2014
Application Complete N/A
Contact:
Agenda Item Type:
Presenter: Mayor Steve Cook
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 5
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
State statute allows cities to make donations to art organizations (471.941). In 2012 the City Council approved a three
year annual contribution of $15,000 to the Hutchinson Center For the Arts as a way to support the organization and
help provide art programing to residents of the city.
The Center For the Arts currently has thirteen art organizations as members, including the Hutchinson Parks,
Recreation, and Community Education Department. The Center is a hub of activity - whether hosting classes,
exhibits, performances, community meetings or special events. The Center is currently finishing up on the Arts Lab
board development program and the board has been working with a consultant to help strengthen their fundraising
capabilities. Financially, with the help of the City's annual contribution, the Center is currently breaking even.
Renewal of this annual contribution will help the Center continue to provide valuable programming to city residents.
Park and Rec Director Dolf Moon has said previously that the City could not come close to providing a comparable
arts program for $15,000/year and supports this contribution.
It is suggested by Controller Andy Reid that the money to renew this annual contribution come from the Community
Improvement Fund. There is sufficient money in the fund to cover this expense and additional money will be going to
the fund during this three year period as various bond funds are closed.
Controller Andy Reid and representatives from the Center for the Arts will be present at the meeting if the council has
questions.
BOARD ACTION REQUESTED:
Motion and approval to renew the City's three year $15,000 annual contribution to the Hutchinson Center For the Arts
for the years 2015, 2016 and 2017
Fiscal Impact: $ 15,000.00 Funding Source: Community Improvement Fund
FTE Impact: 0.00 Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost: $ 45,000.00
Total City Cost: $ 45,000.00 Funding Source: Community Improvement Fund
Remaining Cost: $ 0.00 Funding Source:
HUTCHINSON CITY COUNCIL ci=V�f�
Request for Board Action 79 M-W
Agenda Item: Amendment to Resolution for Funding For Public Arts Commission
Department: City Council
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete N/A
Contact:
Agenda Item Type:
Presenter: Mayor Steve Cook
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
On April 26th, 2011 the Council adopted Resolution #13873 which authorized funding for public arts projects in the
city. This included allowing "up to" $15,000 to be budgeted annually in the Capital Projects Fund (CIP) budget to be
utilized on public arts projects. Any unused monies could be carried over to the next year if the project had not been
completed in the preceding year.
Since 2013 the Public Arts Commission has been sponsoring the Sculpture Stroll which, with stipends to artists,
advertising and brochure costs, runs about $7,000/year for the six pieces currently being leased. However, there has
been talk about adding additional pieces to the sculpture stroll and possibly purchasing pieces of art occasionally,
perhaps through a "people's choice award". Potential purchases would be a way to add to the city's permanent public
art inventory and would also raise interest in artists to show their art as part of the sculpture stroll program and help
ensure high quality art continues to be a part of that program. Typically pieces run from $5,000-$15,000. In addition
other public art programing could be added in the future and/or there may be a desire to add other permanent pieces
of public art in the city outside the sculpture stroll program.
To help the Public Arts Commission be able to plan their programming and recognizing that allowing funds to be set
aside will more easily facilitate future public arts projects and help leverage donations and grants, I am requesting that
resolution #13873 be amended to say that $20,000 "shall" be budgeted annually in the Capital Projects Fund for
public arts projects and that any unused money shall be carried forward from one year to the next up to a maximum
amount of $50,000. This $20,000 allocation would start for the 2014 calendar year and expenses for this year's
sculpture stroll would come from that.
Finally, a line was added that would require City Council approval before a piece of public art would be purchased
from these funds.
BOARD ACTION REQUESTED:
Adopt Resolution No. 14356
Fiscal Impact: $ 20,000.00 Funding Source: Capital Projects Fund
FTE Impact: 0.00 Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
RESOLUTION NO. 14356
A RESOLUTION AMENDING RESOLUTION 13873 AUTHORIZING FUNDING OF
PUBLIC ART PROJECTS IN THE CITY OF HUTCHINSON
Whereas, The City of Hutchinson encourages and has provided Processes and Policies for the
implementation of Public Arts projects, and:
Whereas, Statutes of the State of Minnesota authorize the City to undertake such projects under,
section 471.941,
NOW THEREFORE BE IT RESOLVED THAT THE CITY OF HUTCHINSON:
(1) That $25,000 from the City's public sites fund shall be used for the purpose of creating and
maintaining public art within the city under the direction of the Public Arts Commission and the
City Council.
(2) That e $15,000 annually may shall be budgeted from the Community Improvement Fund
budget to be utilized for public arts projects on public property within the city, as provided by
state statute and provided by the City Council. Any unused money e}ay shall be carried ever- e
the ne3it ealendar- year- if the pr-qjeet has net been eempleted by the end ef the pr-eeeding ye
forward from one year to the next uP to a maximum amount of $30,000.
(3) That $5,000 of the annual CIP budget shall be set aside and held in a separate account for the
maintenance of public art on public property within the city. Any unused monies shall be carried
forward from one year to the next up to a maximum amount of $10,000.
(4) That grants or private donations to the city for public art projects shall be set aside in a separate
account and shall be used to fund art projects and maintenance before public money is expended
on the same.
(5) That City Council approval is required before a piece of public art is purchased with these funds
Adopted by the City Council this 25h day of November, 2014.
Steven W. Cook, Mayor
ATTEST:
Marc Sebora,
Interim City Administrator
ev��e ®IL t t Cc)
RESOLUTION NO. 14356
A RESOLUTION AMENDING RESOLUTION 13873 AUTHORIZING FUNDING OF
PUBLIC ART PROJECTS IN THE CITY OF HUTCHINSON
Whereas, The City of Hutchinson encourages and has provided Processes and Policies for the
implementation of PubliC Arts projects, and:
Whereas, Statutes of the State of Minnesota authorize the City to undertake such projects under
section 471.941,
NOW THEREFORE BE IT RESOLVED THAT THE CITY OF HUTCHINSON:
(1) That $25,000 from the City's public sites fund shall be used for the purpose of creating and
maintaining public art within the city under the direction of the Public Arts Commission and the
City Council.
(2) That up4e $20,000 annually ffhty shall be budgeted in the Capital Projects Fund (CIP) budget to
be utilized for public arts projects on public property within the city, as provided by state statute
and provided by the City Council. Any unused money shall be carried to the „��r*
ealendar- year- if the pr-ejeet has net been eempleted by the end ef the pr-eeeding yeff forward
from one year to the next up to a maximum of $50,000.
(3) That $5,000 of the annual CIP budget shall be set aside and held in a separate account for the
maintenance of public art on public property within the city. Any unused monies shall be carried
forward from one year to the next up to a maximum amount of $10,000.
(4) That grants or private donations to the city for public art projects shall be set aside in a separate
account and shall be used to fund art projects and maintenance before public money is expended
on the same.
(5) That City Council approval is required before a piece of public art is purchased with these funds.
Adopted by the City Council this 25th day of November, 2014
Steven W. Cook, Mayor
ATTEST:
Marc Sebora,
Interim City Administrator
HUTCHINSON CITY COUNCIL ci=V�f�
Request for Board Action 79 M-W
Agenda Item: Discussion of Revising On-Sale Intoxicating Liquor License Fee
Department: Administration
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete N/A
Contact: Marc A. Sebora
Agenda Item Type:
Presenter: Marc A. Sebora
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 0
License Contingency N/A
Attachments: No
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The Council held a workshop in September in reference to the City's liquor code. During workshop discussions, it was
expressed by intoxicating liquor license holders that the liquor license fee of $3700.00 was unfavorable and they
requested that the Council considering lowering the license fee, based on various reasonings. Therefore, I felt that
perhaps the Council should discuss revising the on-sale intoxicating liquor license fee before the end of 2014 so that if
any changes are made, the fee schedule can be amended accordingly before being adopted for 2015.
BOARD ACTION REQUESTED:
Discuss revising on-sale intoxicating liquor license fee
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
HUTCHINSON CITY COUNCIL ci=V�f�
Request for Board Action 79 M-W
Agenda Item: Set City of Hutchinson 2015 Organizational Meeting
Department: Administration
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete N/A
Contact: Marc A. Sebora
Agenda Item Type:
Presenter: Marc A. Sebora
Reviewed by Staff ❑
New Business
Time Requested (Minutes): 5
License Contingency N/A
Attachments: No
BACKGROUND/EXPLANATION OF AGENDA ITEM:
The Hutchinson City Charter states that on the first business day in January following a regular municipal election, the
Council shall meet and the newly elected members of the Council shall assume their duties. The first business day in
January is January 2nd. At this meeting, the Council Members and Mayor will be sworn in and other organizational
items will be reviewed and acted on. The Council will need to consider what time time to hold this organizational
meeting.
BOARD ACTION REQUESTED:
Set City of Hutchinson organizational meeting for January 2, 2015.
Fiscal Impact: Funding Source:
FTE Impact: 0.00 Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
HUTCHINSON CITY COUNCIL
ci=V�f�
Request for Board Action
79 M-W
Agenda Item: October 2014 Financial and Investment Reports
Department: Finance
LICENSE SECTION
Meeting Date: 11/25/2014
Application Complete N/A
Contact: Andy Reid
Agenda Item Type:
Presenter:
Reviewed by Staff ❑
Governance
Time Requested (Minutes): 0
License Contingency N/A
Attachments: Yes
BACKGROUND/EXPLANATION OF AGENDA ITEM:
For Council review, attached are the October Financial Reports for the general fund and enterprise funds. Also
attached is the October Investment Report.
Feel free to contact me with any questions. Thank you.
BOARD ACTION REQUESTED:
Fiscal Impact: Funding Source:
FTE Impact: Budget Change: No
Included in current budget: No
PROJECT SECTION:
Total Project Cost:
Total City Cost: Funding Source:
Remaining Cost: $ 0.00 Funding Source:
REVENUES:
Taxes
Other Taxes
Licenses & Permits
Intergovernmental Revenue
Charges for Services
Fines & Forfeitures
Miscellaneous Revenues
Transfers -In
Capital Contributions
TOTAL REVENUES
EXPENDITURES:
Wages & Benefits
Supplies
Services & Charges
Miscellaneous Expenses
Transfers -Out
Capital Outlay
TOTAL EXPENDITURES
TOTAL REVENUE OVER
(UNDER) EXPENDITURES
Summary Income Statement
General Fund
October 31, 2014
Month of YTD Actual 2014 Budget
October 2014 October 2014 2014 Budget Balance
YTD Actual
Used October 2013 2013 Budget % Used
-
2,295,387.29
4,491,446.00
(2,196,058.71)
51.1%
2,280,855.16
4,491,446.00
50.8%
54,543.79
210,057.84
245,000.00
(34,942.16)
85.7%
129,442.37
140,000.00
92.5%
46,319.86
252,479.32
240,000.00
12,479.32
105.2%
243,547.91
222,775.00
109.3%
261,272.97
1,118,224.02
1,094,270.00
23,954.02
102.2%
1,114,600.65
1,099,265.00
101.4%
110,433.36
1,246,822.94
2,045,923.00
(799,100.06)
60.9%
1,288,363.13
2,056,731.00
62.6%
4,624.33
48,416.76
50,000.00
(1,583.24)
96.8%
50,202.30
45,000.00
111.6%
81,967.56
448,184.80
646,500.00
(198,315.20)
69.3%
271,408.90
325,625.00
83.4%
410,483.00
1,124,241.00
2,066,653.00
(942,412.00)
54.4%
1,176,037.01
2,108,846.00
55.8%
-
0.0%
6,250.00
0.0%
969,644.87 6,743,813.97 10,879,792.00 (4,135,978.03) 62.0% 6,554,457.43 10,495,938.00 62.4
702,279.55
5,697,387.44
7,009,709.00
1,312,321.56
81.3%
5,576,028.16
6,778,616.00
82.3%
52,500.71
622,342.33
781,887.00
159,544.67
79.6%
597,308.54
783,840.00
76.2%
122,787.13
1,952,390.65
2,262,536.00
310,145.35
86.3%
1,994,540.02
2,393,441.00
83.3%
46,430.62
309,859.55
533,068.00
223,208.45
58.1%
216,092.99
446,805.00
48.4%
-
94,030.00
96,000.00
1,970.00
97.9%
93,236.00
93,236.00
100.0%
14,550.00
20,047.52
-
(20,047.52)
100.0%
8,002.10
-
100.0%
938,548.01
8,696,057.49
10,683,200.00
1,987,142.51
81.4%
8,485,207.81
10,495,938.00
80.8
31,096.86
(1,952,243.52)
196,592.00
(2,148,835.52)
(1,930,750.38)
General Fund Revenues by Department
Department Month of YTD Actual 2014 Budget YTD Actual
October 2014 October 2014 2014 Budqet Balance % Used October 2013 2013 Budqet % Used
Mayor & City Council
-
-
-
-
0.0%
-
-
0.0%
City Administrator
8,268.75 33,075.00 48,075.00 15,000.00 68.8% 37,278.00 48,075.00
Passport application revenue was budgeted at $15K for 2014 but the program was discontinued in December 2013.
77.5%
Elections
-
100.00
(100.00)
100.0%
-
-
0.0%
Finance Department
1,053.62
3,752.71
-
(3,752.71)
100.0%
1,178.92
-
100.0%
Motor Vehicle
27,988.22
309,399.25 310,500.00 1,100.75 99.6% 288,025.54
ATM revenue is higher than expected but is offset by higher expense as well.
288,500.00
99.8%
Assessing
-
-
-
-
0.0%
-
-
0.0%
Legal
37,887.50
96,540.00
98,162.00
1,622.00
98.3%
84,023.67
105,151.00
79.9%
Planning
7,273.54
39,314.40
14,300.00
(25,014.40)
274.9%
20,337.27
10,775.00
188.7%
Information Services
25,963.00
115,852.00
119,852.00
4,000.00
96.7%
91,839.50
114,352.00
80.3%
City Hall Building
50.00
1,710.00
7,200.00
5,490.00
23.8%
1,700.00
7,200.00
23.6%
Police Department
228,925.64
558,192.69
668,530.00
110,337.31
83.5%
395,732.51
371,648.00
106.5%
Emergency Management
-
-
-
-
0.0%
-
-
0.0%
Safety Committee
-
-
-
-
0.0%
-
-
0.0%
Fire Department
1,227.00
8,298.25
72,500.00
64,201.75
11.4%
27,939.29
66,000.00
42.3%
Protective Inspections
40,106.72
189,977.09
171,100.00
(18,877.09)
111.0%
183,244.59
162,900.00
112.5%
Engineering
1,084.65
2,099.78 468,720.00 466,620.22 0.4% 7,213.87
Annual engineering fees related to the street projects are recorded at year-end.
465,756.00
1.5%
Streets & Alleys
40,373.91
183,648.61
222,000.00
38,351.39
82.7%
182,240.04
217,000.00
84.0%
Park/RecreationAdministration
31.90
38,280.48
73,455.00
35,174.52
52.1%
37,486.08
71,000.00
52.8%
Recreation
5,123.98
183,252.72
211,000.00
27,747.28
86.8%
192,347.02
220,000.00
87.4%
Senior Citizen Center
1,009.07
54,309.23
57,500.00
3,190.77
94.5%
57,301.95
57,500.00
99.7%
Civic Arena
3,518.12
91,784.60 233,000.00 141,215.40 39.4% 165,084.23 233,000.00
Due to the refrigeration project, no summer ice programs were offered. Expenses are lower as well.
70.9%
Park Department
10,076.65
125,849.95
154,000.00
28,150.05
81.7%
107,059.14
154,000.00
69.5%
Recreation Building & Pool
8,686.02
114,561.86
111,000.00
(3,561.86)
103.2%
112,931.02
111,000.00
101.7%
Events Center
8,371.84
82,193.22
115,000.00
32,806.78
71.5%
88,018.54
115,000.00
76.5%
Evergreen Building
427.00
4,529.00
5,533.00
1,004.00
81.9%
7,930.05
9,900.00
80.1%
Library
-
500.00
1,000.00
500.00
50.0%
1,100.00
-
100.0%
Cemetery
6,905.05
85,750.50
85,100.00
(650.50)
100.8%
80,913.41
100,075.00
80.9%
Airport
301.70
65,861.82
94,500.00
28,638.18
69.7%
50,282.97
90,600.00
55.5%
Revenue Department
404,172.73
4,253,622.55
7,459,407.00
3,205,784.45
57.0%
4,217,645.04
7,399,653.00
57.0%
Unallocated General Expense
100,818.26
101,358.26
78,358.00
(23,000.26)
129.4%
115,604.78
76,853.00
150.4%
TOTAL REVENUES
969 644.87
6,743,813.97
10 879 792.00
4,135,978.03
62.0 %
6,554,457.43
10 495 938.00
62.4%
General Fund Expenditures by Department
Department Month of YTD Actual 2014 Budget YTD Actual
October 2014 October 2014 2014 Budqet Balance % Used October 2013 2013 Budqet % Used
Mayor & City Council
4,434.90
37,053.81
48,823.00
11,769.19
75.9%
35,765.33
52,016.00
68.8%
City Administrator
19,174.43
292,078.79
412,884.00
120,805.21
70.7%
327,980.08
387,401.00
84.7%
Elections
883.35
9,605.88
15,962.00
6,356.12
60.2%
2,322.29
10,000.00
23.2%
Finance Department
17,179.24
231,819.15
295,894.00
64,074.85
78.3%
295,626.50
371,863.00
79.5%
Motor Vehicle
22,783.23 233,362.09 254,100.00 20,737.91 91.8% 250,586.62 275,413.00
Higher than budget due to ATM expense which is offset by higher ATM revenue as well. All other expenses are under budget.
91.0%
Assessing
-
60,963.00
60,963.00
-
100.0%
61,005.00
61,911.00
98.5%
Legal
28,270.27
205,403.23
256,142.00
50,738.77
80.2%
181,890.78
252,067.00
72.2%
Planning
12,488.49
109,242.89
135,012.00
25,769.11
80.9%
117,986.57
123,210.00
95.8%
Information Services
40,056.26
328,568.90
427,012.00
98,443.10
76.9%
403,331.47
499,332.00
80.8%
City Hall Building
3,586.79
69,458.32
83,494.00
14,035.68
83.2%
74,681.11
121,096.00
61.7%
Police Department
243,240.69
2,522,903.83
3,197,339.00
674,435.17
78.9%
2,297,701.07
2,889,291.00
79.5%
Emergency Management
37.29
5,608.61
14,839.00
9,230.39
37.8%
17,404.04
13,000.00
133.9%
Safety Committee
151.64
8,088.96
13,276.00
5,187.04
60.9%
8,103.51
13,450.00
60.2%
Fire Department
38,369.19
222,358.04
273,924.00
51,565.96
81.2%
253,172.86
309,187.00
81.9%
Protective Inspections
15,694.13
153,814.28
178,407.00
24,592.72
86.2%
154,594.37
208,350.00
74.2%
Engineering
30,285.48
330,060.29
424,543.00
94,482.71
77.7%
427,779.11
465,756.00
91.8%
Streets & Alleys
59,679.67
1,264,326.99 1,374,733.00 110,406.01 92.0% 1,151,429.69 1,369,738.00
Extreme winter adversely affected budget. Dept is holding line on expenses the rest of the year.
84.1%
Park/Recreation Administration
16,640.38
176,093.28
218,929.00
42,835.72
80.4%
180,552.70
213,127.00
84.7%
Recreation
9,716.56
185,282.78
218,072.00
32,789.22
85.0%
181,976.23
217,610.00
83.6%
Senior Citizen Center
6,188.32 64,408.87 68,620.00 4,211.13 93.9% 71,591.76 69,749.00
Higher expenses related to the number of senior events offerred which is offset by higher reimbursements from the seniors.
102.6%
Civic Arena
Park Department
12,669.42
40,840.81
218,573.08
661,801.71
309,957.00
794,003.00
91,383.92
132,201.29
70.5%
83.4%
270,201.72
656,166.87
331,469.00
757,260.00
81.5%
86.7%
Recreation Building & Pool
5,430.48
166,274.02 190,756.00 24,481.98 87.2% 155,174.09
Higher expenses incurred in getting the wading pool operational for the summer.
185,885.00
83.5%
Events Center
14,267.98
175,903.00
219,027.00
43,124.00
80.3%
162,880.94
213,650.00
76.2%
Evergreen Building
152.75
10,237.47
17,393.00
7,155.53
58.9%
13,261.15
11,880.00
111.6%
Library
40,423.68 184,640.48 190,606.00 5,965.52 96.9% 188,659.93 190,937.00
Pioneerland fee of $157, 046 is the majority of the expenses. Final quarterly payment was made in October.
98.8%
Cemetery
19,588.46
94,886.91
107,072.00
12,185.09
88.6%
70,649.27
109,104.00
64.8%
Airport
12,930.48
75,692.74
99,776.00
24,083.26
75.9%
70,126.87
99,700.00
70.3%
Revenue Department
-
-
-
-
0.0%
-
-
0.0%
Unallocated General Expense
223,383.64
597,546.09
781,642.00
184,095.91
76.4%
402,605.88
672,486.00
59.9%
TOTAL EXPENDITURES
938 548.01
8,696,057.49
10 683 200.00
1,987,142.51
81.4%
8,485,207.81
10 495 938.00
80.8
Summary Income Statement
Liquor Fund
October 31, 2014
TOTAL REVENUES 446,698.32 4,509,558.40 5,398,000.00 (888,441.60) 83.5% 4,313,651.43 5,428,550.00 79.5
Gross Margin % 26.9% 24.7% 25.0% 24.6% 24.1%
EXPENDITURES
Cost of Sales
Month of
YTD Actual
4,045,650.00
2014 Budget
83.8%
YTD Actual
4,115,697.00
78.9%
Wages & Benefits
October 2014
October 2014
2014 Budget
Balance
% Used
October 2013
2013 Budget
% Used
REVENUES:
643.67
14,218.19
15,600.00
1,381.81
91.1%
14,303.72
16,600.00
86.2%
Sales - Liquor
153,871.71
1,499,080.21
1,811,000.00
(311,919.79)
82.8%
1,416,161.50
1,803,150.00
78.5%
Sales - Wine
72,862.13
680,477.91
951,000.00
(270,522.09)
71.6%
695,719.83
898,430.00
77.4%
Sales - Beer
212,315.65
2,280,753.98
2,631,000.00
(350,246.02)
86.7%
2,193,895.29
2,709,500.00
81.0%
Sales - Other
7,549.20
46,538.91
2,000.00
44,538.91
2326.9%
3,573.26
14,470.00
24.7%
Other Revenues
99.63
2,707.39
3,000.00
(292.61)
90.2%
4,301.55
3,000.00
143.4
TOTAL REVENUES 446,698.32 4,509,558.40 5,398,000.00 (888,441.60) 83.5% 4,313,651.43 5,428,550.00 79.5
Gross Margin % 26.9% 24.7% 25.0% 24.6% 24.1%
EXPENDITURES
Cost of Sales
326,494.77
3,391,415.88
4,045,650.00
654,234.12
83.8%
3,247,239.73
4,115,697.00
78.9%
Wages & Benefits
37,263.68
417,762.08
502,400.00
84,637.92
83.2%
395,378.46
488,190.00
81.0%
Supplies
643.67
14,218.19
15,600.00
1,381.81
91.1%
14,303.72
16,600.00
86.2%
Services & Charges
10,996.86
144,612.96
186,264.00
41,651.04
77.6%
160,102.70
196,750.00
81.4%
Miscellaneous Expenses
20.00
3,571.99
5,500.00
1,928.01
64.9%
4,889.21
3,650.00
134.0
Depreciation Expense
-
-
73,600.00
73,600.00
0.0%
-
70,940.00
0.0%
Capital Outlay
98.40
31,677.02
27,000.00
(4,677.02)
117.3%
14,098.05
31,000.00
45.5%
Debt Service
-
-
128,385.00
128,385.00
0.0%
-
128,295.00
0.0%
Transfers -Out
-
-
450,000.00
450,000.00
0.0%
-
435,000.00
0.0%
TOTAL EXPENDITURES
375,517.38
4,003,258.12
5,434,399.00
1,431,140.88
73.7%
3,836,011.87
5,486,122.00
69.9
TOTAL REVENUE OVER
(UNDER) EXPENDITURES
71,180.94
506,300.28
(36,399.00)
542,699.28
477,639.56
(57,572.00)
Comments
REVENUES:
Year to Date Sales
YTD Customer Count 186,268 182,026 2.3
Average Sale per Customer $24.20 $23.67 2.2
2014
2013
Change
Liquor
1,499,080
1,416,162
5.9%
Wine
680,478
695,720
-2.2
Beer
2,280,754
2,193,895
4.0%
Other
46,539
3,573
1202.4%
Total Sales
4,506,851
4,309,350
4.6%
YTD Customer Count 186,268 182,026 2.3
Average Sale per Customer $24.20 $23.67 2.2
18,907 17,793 6.3%
$23.62 $22.63 4.4
With the new cash register system and software, discounts are being recorded as reductions in the specific sales categories (Liquor, Wine &
Beer). This is a change from the prior system that was able to record all discounts as a separate category that was included within the
Sales -Other line item. Therefore, starting in July 2014 with the new system, the Other category will grow larger than the prior year while
Liquor, Wine and Beer will be reduced due to the accounting for the discounts. The Other sales line includes all other sales items such as
ice, soda, mixes, souvenirs, etc.
Monthly Sales
2014
2013
Change
153,872
139,322
10.4
72,862
66,374
9.8%
212,316
195,511
8.6
7,549
1,397
440.2%
446,599
402,605
10.9
18,907 17,793 6.3%
$23.62 $22.63 4.4
With the new cash register system and software, discounts are being recorded as reductions in the specific sales categories (Liquor, Wine &
Beer). This is a change from the prior system that was able to record all discounts as a separate category that was included within the
Sales -Other line item. Therefore, starting in July 2014 with the new system, the Other category will grow larger than the prior year while
Liquor, Wine and Beer will be reduced due to the accounting for the discounts. The Other sales line includes all other sales items such as
ice, soda, mixes, souvenirs, etc.
Summary Income Statement
Water Fund
October 31, 2014
Month of YTD Actual 2014 Budget YTD Actual
October 2014 October 2014 2014 Budget Balance % Used October 2013 2013 Budget % Used
REVENUES:
Local Sales Tax
55,510.11
466,150.36
650,000.00
(183,849.64)
103,667.74
71.7%
376,235.59
420,000.00
89.6%
Water Sales
239,745.50
1,991,915.30
2,381,500.00
(389,584.70)
124,250.00
83.6%
2,034,220.35
2,347,500.00
86.7%
Charges for Services
3,991.31
46,645.42
42,500.00
4,145.42
375,231.23
109.8%
51,249.64
41,000.00
125.0
Investment Earnings
-
(28.73)
20,000.00
(20,028.73)
-0.1%
2,928.15
20,000.00
14.6
Reimbursements
455.00
2,636.83
64,192.00
(61,555.17)
-
4.1%
4,231.75
64,148.00
6.6%
Other Financing Sources
-
-
-
0.0%
Capital Outlay
0.0%
-
-
0.0
Fund Balance
0.0%
292,950.00
250,000.00
117.2%
0.0%
0.0
TOTAL REVENUES 299,701.92 2,507,319.18 3,158,192.00 (650,872.82) 79.4% 2,468,865.48 2,892,648.00 85.3
EXPENDITURES:
Wages & Benefits
30,731.14
323,812.26
427,480.00
103,667.74
75.7%
354,868.51
465,623.00
76.2%
Supplies
11,152.79
84,928.25
124,250.00
39,321.75
68.4%
89,060.97
128,825.00
69.1%
Services & Charges
10,858.75
375,231.23
409,618.00
34,386.77
91.6%
375,634.51
440,470.00
85.3%
Miscellaneous Expenses
239.94
9,728.55
22,000.00
12,271.45
44.2%
9,203.25
15,850.00
58.1
Depreciation Expense
-
-
1,105,500.00
1,105,500.00
0.0%
-
1,057,860.00
0.0%
Capital Outlay
-
250,000.00
250,000.00
0.0%
292,950.00
250,000.00
117.2%
Debt Service
1,043,720.15
1,229,916.00
186,195.85
84.9%
1,037,071.68
1,218,848.00
85.1
Transfers -Out
43,145.00
43,145.00
0.0%
43,145.00
0.0
TOTAL EXPENDITURES 52,982.62 1,837,420.44 3,611,909.00 1,774,488.56 50.9% 2,158,788.92 3,620,621.00 59.6
TOTAL REVENUE OVER
(UNDER) EXPENDITURES 246,719.30 669,898.74 (453,717.00) 1,123,615.74 310,076.56 (727,973.00)
Summary Income Statement
Sewer Fund
October 31, 2014
Comments
REVENUES:
Sewer Sales Total YTD sales are up 2.0% when compared to last year's sales without the Ethanol Plant 2013 billings of $128,214.
Month of
YTD Actual
2014 Budget
YTD Actual
October 2014
October 2014
2014 Budget
Balance
% Used
October 2013
2013 Budget
% Used
REVENUES:
Local Sales Tax
55,510.12
466,495.97
650,000.00
(183,504.03)
71.8%
519,410.63
580,000.00
89.6%
Sewer Sales
286,776.50
2,718,466.64
3,132,000.00
(413,533.36)
86.8%
2,768,489.33
3,190,000.00
86.8%
Permits
-
6,700.00
7,000.00
(300.00)
95.7%
6,877.81
7,000.00
98.3
Charges for Services
5,119.00
7,000.00
(1,881.00)
73.1%
1,342.78
7,000.00
19.2%
Investment Earnings
-
(805.48)
20,000.00
(20,805.48)
-4.0%
4,025.07
20,000.00
20.1
Reimbursements
1,314.32
27,156.07
64,192.00
(37,035.93)
42.3%
17,662.64
64,148.00
27.5%
Other Financing Sources
-
-
-
0.0%
-
-
0.0
Fund Balance
-
0.0%
0.0
TOTAL REVENUES
343,600.94
3,223,132.20
3,880,192.00
(657,059.80)
83.1%
3,317,808.26
3,868,148.00
85.8
EXPENDITURES:
Wages & Benefits
43,871.51
488,083.55
608,184.00
120,100.45
80.3%
481,624.85
653,623.00
73.7%
Supplies
14,922.06
171,664.63
249,810.00
78,145.37
68.7%
157,934.05
254,700.00
62.0%
Services & Charges
17,240.83
590,357.09
743,765.00
153,407.91
79.4%
607,661.52
837,960.00
72.5%
Miscellaneous Expenses
186.44
26,287.45
26,100.00
(187.45)
100.7%
16,534.31
27,000.00
61.2
Depreciation Expense
-
-
1,589,300.00
1,589,300.00
0.0%
-
1,647,960.00
0.0%
Capital Outlay
-
350,000.00
350,000.00
0.0%
68,199.57
350,000.00
19.5%
Debt Service
1,362,621.37
1,590,266.00
227,644.63
85.7%
1,354,760.01
1,528,394.00
88.6%
Transfers -Out
43,145.00
43,145.00
0.0%
43,145.00
0.0
TOTAL EXPENDITURES
76,220.84
2,639,014.09
5,200,570.00
2,561,555.91
50.7%
2,686,714.31
5,342,782.00
50.3
TOTAL REVENUE OVER
(UNDER) EXPENDITURES
267,380.10
584,118.11
(1,320,378.00)
1,904,496.11
631,093.95
(1,474,634.00)
Comments
REVENUES:
Sewer Sales Total YTD sales are up 2.0% when compared to last year's sales without the Ethanol Plant 2013 billings of $128,214.
REVENUES:
Storm Water Sales
Licenses & Permits
Charges for Services
Investment Earnings
Reimbursements
Fund Balance
TOTAL REVENUES
Summary Income Statement
Stormwater Fund
October 31, 2014
Month of
YTD Actual
2014 Budget
YTD Actual
October 2014
October 2014
2014 Budget
Balance
% Used
October 2013
2013 Budget
% Used
61,181.31
606,733.18
719,500.00
(112,766.82)
84.3%
553,609.69
664,350.00
83.3%
835.00
1,645.00
-
1,645.00
100.0%
2,645.00
-
100.0%
-
-
1,000.00
(1,000.00)
0.0%
-
1,000.00
0.0%
-
(417.64)
1,000.00
(1,417.64)
-41.8%
549.68
1,000.00
55.0%
680.00
3,598.00
250.00
3,348.00
1439.2%
3,641.14
-
100.0%
-
-
-
-
0.0%
-
-
0.0%
62,696.31 611,558.54 721,750.00 (110,191.46) 84.7% 560,445.51 666,350.00 84.1
EXPENDITURES:
Wages & Benefits
13,046.99
90,083.44
208,737.00
118,653.56
43.2%
95,704.89
211,877.00
45.2%
Supplies
19,858.63
34,356.47
33,150.00
(1,206.47)
103.6%
10,782.19
29,100.00
37.1
Services & Charges
8,850.40
112,289.29
146,450.00
34,160.71
76.7%
65,560.47
144,300.00
45.4%
Miscellaneous Expenses
186.44
8,198.64
8,050.00
(148.64)
101.8%
8,159.49
2,200.00
370.9%
Depreciation Expense
-
-
111,200.00
111,200.00
0.0%
-
113,060.00
0.0%
Capital Outlay
-
128,000.00
128,000.00
0.0%
57,823.55
120,000.00
48.2%
Debt Service
146,994.30
193,932.00
46,937.70
75.8%
148,809.30
198,857.00
74.8%
Transfers -Out
-
-
-
-
0.0%
-
-
0.0
TOTAL EXPENDITURES
41,942.46
391,922.14
829,519.00
437,596.86
47.2%
386,839.89
819,394.00
47.2
TOTAL REVENUE OVER
(UNDER) EXPENDITURES
20,753.85
219,636.40
(107,769.00)
327,405.40
173,605.62
(153,044.00)
Summary Income Statement
HATS Fund
October 31, 2014
TOTAL REVENUES 58,561.96 710,695.88 779,700.00 (69,004.12) 91.1% 639,629.22 767,632.00 83.3
EXPENDITURES
Wages & Benefits
Month of
YTD Actual
59,831.43
2014 Budget
52,235.00
YTD Actual
114.5%
58,963.96
October 2014
October 2014
2014 Budget
Balance
% Used
October 2013
2013 Budget
% Used
REVENUES:
102,527.11
80.9%
399,952.10
535,000.00
74.8%
Services & Charges
Intergovernmental
6,027.50
135,015.00
147,070.00
(12,055.00)
91.8%
90,956.70
136,396.00
66.7%
Charges for Services
37,187.46
449,207.29
535,000.00
(85,792.71)
84.0%
436,658.23
535,000.00
81.6%
Investment Earnings
-
142.59
1,100.00
(957.41)
13.0%
142.67
1,000.00
14.3%
Reimbursements
15,347.00
32,301.00
2,500.00
29,801.00
1292.0%
18,635.62
2,000.00
931.8%
Transfers -In
-
94,030.00
94,030.00
-
100.0%
93,236.00
93,236.00
100.0%
TOTAL REVENUES 58,561.96 710,695.88 779,700.00 (69,004.12) 91.1% 639,629.22 767,632.00 83.3
EXPENDITURES
Wages & Benefits
5,571.46
59,831.43
52,235.00
(7,596.43)
114.5%
58,963.96
52,665.00
112.0%
Supplies
74,080.89
434,297.89
536,825.00
102,527.11
80.9%
399,952.10
535,000.00
74.8%
Services & Charges
4,087.25
125,488.54
147,500.00
22,011.46
85.1%
135,256.72
150,080.00
90.1
Miscellaneous Expenses
50.00
50.00
5,100.00
5,050.00
1.0%
35.00
5,077.00
0.7%
Depreciation Expense
-
-
-
-
0.0%
-
-
0.0
Capital Outlay
83,276.78
83,276.78
37,960.00
(45,316.78)
219.4%
20,500.00
0.0%
Debt Service
-
-
-
0.0%
-
0.0
Transfers -Out
-
-
-
-
0.0%
-
-
0.0
TOTAL EXPENDITURES
167,066.38
702,944.64
779,620.00
76,675.36
90.2%
594,207.78
763,322.00
77.8%
TOTAL REVENUE OVER
(UNDER) EXPENDITURES
(108,504.42)
7,751.24
80.00
7,671.24
45,421.44
4,310.00
Comments
REVENUES: Charges for Services This income category consists of the fuel revenue from various governmental entities and City departments.
EXPENSES: Supplies This expense category consists of the fuel purchased for use by various governmental entities and City departments.
YTD 2014 expense is low due to a timing difference in paying fuel invoices. The September fuel invoice will be paid in October.
Capital Outlay Two vehicle hoists were replaced at a total cost of $83,277. The cost is being funded by a combination of fund balance and cash payments
from the three entities.
Summary Income Statement
Compost Fund
October 31, 2014
Month of YTD Actual 2014 Budget YTD Actual
October 2014 October 2014 2014 Budget Balance % Used October 2013 2013 Budget % Used
REVENUES:
Sales -Bagged Product
51,758.32
2,513,332.24
2,288,300.00
225,032.24
118.7%
109.8%
2,284,981.00
133.0%
1,982,500.00
115.3%
Sales - Bulk Product
23,254.12
264,184.97
175,000.00
89,184.97
(508,200.00)
151.0%
230,081.48
54,542.74
200,000.00
115.0%
Sales - Other
13,423.93
147,611.66
45,550.00
102,061.66
Supplies
324.1%
105,107.70
134,500.00
52,250.00
201.2%
Charges for Services
16,460.00
69,250.60
133,500.00
(64,249.40)
143,481.03
51.9%
60,444.40
94.7%
129,000.00
46.9%
Investment Earnings
-
(955.36)
5,000.00
(5,955.36)
19,587.32
-19.1%
(237.68)
170,000.00
2,500.00
-9.5%
Reimbursements
6,486.76
243.98
1,000.00
(756.02)
6,923.12
24.4%
533.38
Depreciation Expense
1,000.00
53.3%
Other Revenues
140,500.00
440.00
-
440.00
0.0%
100.0%
33,870.60
-
-
0.0
TOTAL REVENUES 104,896.37 2,994,108.09 2,648,350.00 345,758.09 113.1% 2,680,910.28 2,367,250.00 113.2
EXPENDITURES:
Cost of Sales
35,467.91
2,311,094.24
1,947,380.00
(363,714.24)
118.7%
1,950,671.96
1,467,050.00
133.0%
Inventory Cost Adjustment
(39,000.00)
(894,742.98)
(972,802.00)
(78,059.02)
92.0%
(958,795.87)
(508,200.00)
188.7
Wages & Benefits
54,542.74
609,382.97
780,684.00
171,301.03
78.1%
620,834.67
706,935.00
87.8%
Supplies
5,192.68
119,246.23
134,500.00
15,253.77
88.7%
151,403.30
128,500.00
117.8%
Services & Charges
12,614.33
143,481.03
151,555.00
8,073.97
94.7%
170,861.62
158,500.00
107.8
Freight
16,185.00
160,412.68
180,000.00
19,587.32
89.1%
190,186.07
170,000.00
111.9%
Miscellaneous Expenses
96.00
6,486.76
13,000.00
6,513.24
49.9%
6,923.12
14,340.00
48.3
Depreciation Expense
-
-
140,500.00
140,500.00
0.0%
-
141,780.00
0.0%
Capital Outlay
33,870.60
90,779.78
157,888.00
67,108.22
57.5%
112,443.76
10,833.00
1038.0%
Transfers -Out
-
-
102,847.00
102,847.00
0.0%
-
90,775.00
0.0%
TOTAL EXPENDITURES
118,969.26
2,546,140.71
2,635,552.00
89,411.29
96.6%
2,244,528.63
2,380,513.00
94.3
TOTAL REVENUE OVER
(UNDER) EXPENDITURES
(14,072.89)
447,967.38
12,798.00
435,169.38
436,381.65
(13,263.00)
Summary Income Statement
Refuse Fund
October 31, 2014
Month of
YTD Actual
2014 Budget
YTD Actual
October 2014
October 2014
2014 Budget
Balance
% Used
October 2013
2013 Budget
% Used
REVENUES:
Refuse Sales
95,349.09
948,143.31
1,138,287.00
(190,143.69)
83.3%
955,261.43
1,145,150.00
83.4%
Intergovernmental
-
5,857.88
12,500.00
(6,642.12)
46.9%
6,195.38
12,500.00
49.6%
Investment Earnings
(334.40)
2,500.00
(2,834.40)
-13.4%
909.43
2,500.00
36.4%
Reimbursements
1,171.79
-
1,171.79
100.0%
-
-
0.0%
Fund Balance
-
-
-
0.0%
-
0.0%
TOTAL REVENUES
95,349.09
954,838.58
1,153,287.00
(198,448.42)
82.8%
962,366.24
1,160,150.00
83.0%
EXPENDITURES:
Wages & Benefits
14,066.77
138,970.42
153,350.00
14,379.58
90.6%
144,623.45
172,065.00
84.1%
Supplies
12,511.04
57,044.29
68,500.00
11,455.71
83.3%
43,908.84
61,700.00
71.2%
Services & Charges
27,188.42
532,415.84
720,873.00
188,457.16
73.9%
509,535.07
687,625.00
74.1%
Miscellaneous Expenses
186.44
1,819.99
1,250.00
(569.99)
145.6%
891.60
-
100.0%
Depreciation Expense
-
-
116,100.00
116,100.00
0.0%
-
132,510.00
0.0%
Capital Outlay
-
110,000.00
110,000.00
0.0%
38,952.34
31,930.00
122.0%
Debt Service
1,311.92
24,260.00
22,948.08
5.4%
1,808.80
24,261.00
7.5%
Transfers -Out
-
-
55,000.00
55,000.00
0.0%
-
55,000.00
0.0%
TOTAL EXPENDITURES
53,952.67
731,562.46
1,249,333.00
517,770.54
58.6%
739,720.10
1,165,091.00
63.5%
TOTAL REVENUE OVER
(UNDER) EXPENDITURES
41,396.42
223,276.12
(96,046.00)
319,322.12
222,646.14
(4,941.00)
Executive summary
as of October 31, 2014
Asset allocation review
Value on % of
1013112014($) portfolio
A Cash
5,211,775.95
37.87
Cash
5,211,775.95
37.87
B Fixed Income
8,549,926.80
62.13
US
8,100,558.87
58.86
International
449,367.93
3.27
C Equity
0.00
0.00
D Commodities
0.00
0.00
E Non -Traditional
0.00
0.00
F Other
0.00
0.00
Total Portfolio M$13,761,702.75
100%
Balanced mutual funds are allocated In the 'Other
category
Equity sector analysis
Prepared for City of Hutchinson
RP 38446 • City of Hutchinson • Business Service Account
Risk profile. Conservative
Return Objective. Current Income
Expected cash flow
Is Thousands
26
22
18
13
A 9
4
6
0 Aul_ ......
Nov Dec Jan Feb Mar Apr May Jun Jul Aug Sep Oct
2014 2015 2015
0 Taxable income
Total taxable income: $117,633.70
Total expected cash flow: $117,633.70
Cash flows displayed account for known events such as maturities and mandatory puts.
Portfolio does not contain applicable holdings - exhibit
intentionally left blank.
Credit quality of bond holdings
D Baa/BBB/BBB 0 0.00 0.00
E Non -investment grade 0 0.00 0.00
F Certificate of deposit 18 4,020,658.92 47.12
G Not rated 0 0.00 0.00
Total 24 $8,549,926.80 100°
Report created on. November 03, 2014 Pagel of 3
Value on
% of
Effective credit rating
Issues
10/ 3 112 01 4($)
port.
A Aaa/AAA/AAA
2
1,480,242.05
17.26
B Aa/AA/AA
4
3,049,025.83
35.62
C A/A/A
0
0.00
0.00
D Baa/BBB/BBB 0 0.00 0.00
E Non -investment grade 0 0.00 0.00
F Certificate of deposit 18 4,020,658.92 47.12
G Not rated 0 0.00 0.00
Total 24 $8,549,926.80 100°
Report created on. November 03, 2014 Pagel of 3
f
Prepared for City of Hutchinson
RP 38446 • City of Hutchinson • Business Service Account
Risk profile. Conservative
Return Objective. Current Income
SU 1 1 1 1 1 1 a ry Includes all fixed-rate securities In the selected portollo. Average yields and durations exclude Structured Product, Pass -Through, Perpetual Preferred, and Foreign securities.
as of October 31, 2014
Bond overview Investment type allocation
Total quantity 8,432,000
Total market value
$8,513,298.88
Value on
% of
Effective credit rating
Issues
% of
Total accrued interest
$36,627.92
2
1,480,242.05
Tax exempt l
B Aa/AA/AA
bond
Total market value plus accrued interest
$8,549,926.80
Investment type
Taxable ($)
deferred ($)
Total ($)
port.
Total estimated annual bond interest
$121,952.25
Certificates of deposit
4,020,658.92
0.00
4,020,658.92
47.03
Average coupon
1.46%
Municipals
1,543,150.83
0.00
1,543,150.83
18.05
Average current yield
1.43%
U.S. federal agencies
2,986,117.05
0.00
2,986,117.05
34.93
Average yield to maturity
0.84%
Average yield to worst
0.84%
Total
$8,549,926.80
$0.00
$8,549,926.80
100
Average modified duration
1.96
Average effective maturity
3.89
Credit quality of bond holdings
D Baa/BBVBBB 0 0.00 0.00
E Non -investment grade 0 0.00 0.00
F Certificate of deposit 18 4,020,658.92 47.12
G Not rated 0 0.00 0.00
Total 24 $8,549,926.80 100
Bond maturity schedule
$ Millions
3.0
30.0
2.5
2.0
1.5
1.0
0.5
00
Value on
% of
Effective credit rating
Issues
1013112014 ($)
port.
A Aaa/AAA/AAA
2
1,480,242.05
17.26
B Aa/AA/AA
4
3,049,025.83
35.62
C A/A/A
0
0.00
0.00
D Baa/BBVBBB 0 0.00 0.00
E Non -investment grade 0 0.00 0.00
F Certificate of deposit 18 4,020,658.92 47.12
G Not rated 0 0.00 0.00
Total 24 $8,549,926.80 100
Bond maturity schedule
$ Millions
3.0
30.0
2.5
2.0
1.5
1.0
0.5
00
2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 20252025+other
0 Effective maturity schedule
Cash, mutual funds and some preferred securities are not included.
Report created on. November 03, 2014 Pagel of 2
i
Fq
M 1 M
1
1
2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 20252025+other
0 Effective maturity schedule
Cash, mutual funds and some preferred securities are not included.
Report created on. November 03, 2014 Pagel of 2
UBS
SIncludes all fixed-rate securities In the selected porfollo. Average
as of October 31, 2014
Summary of bond holdings
Maturity Est annual Current Yield to Yield to Modified
Year Issues Quantity income ($) yield (%) maturity (%) worst (%) duration
yields and durations exclude
Adjusted
cost basis ($)
Prepared for City tc Hutchinson
RP 38446 •City of Hutchinson •Business Service Account
Risk profile. Conservative
Return Objective. Current Income
Structured Product, Pass -Through, Perpetual Preferred, and Foreign securities.
Unrealized
gain/ loss ($) Mkt. value ($) % of bond portfolii
2014
1
249,000
1,992 00
0.80 %
0.22 %
0.22 %
0.12
249,000
176.79 249,929.93
� 2.e3 i
2015
11
2,550,000
20,884.00
082%
0.33 %
0.33 %
0.56
2,550,000
6,340.97 2,5 62,384 051
30 03i
2016
1
145,000
1,812.50
1.24%
0.76 %
0.76 %
1.75
145,000
1,242.65 146,654.81111.72%
2017
6
1,748,000
44,348.75
2.45%
0.93 %
0.93 %
2.38
1,784,563.74
25,655.93 1,821,867.32
��21.26i
2018
1
240,000
3,240.00
1.37%
1.77 %
1.77 %
3.82
240,000
-3,811.20 236,428.4710277%
2019
1
500,000
11,725.00
2.30%
1.93 %
1.93 %
4.46
506,947.76
2,492.24 512,371.25=5.98i
2020
1
500,000
10,450.00
2.07%
1.87 %
1.87 %
5.12
499,995
5,645.00 510,081 251=594'/.
2021
0
0
NA
NA
NA
1
2022
1
1,500,000
15,000.00
1.00%
NA
NA
NA
1,500,000
750.00 1,505,875.00��1763%
2023
1
1,000,000
12,500.00
1.25%
NA
NA
NA
1,000,000
-700.00 1,004,334.72
11.749
2024
0
0
NA
NA
NA
2025
0
0
NA
NA
NA
2026
0
0
NA
NA
NA
2027
0
0
NA
NA
NA
2028
0
0
NA
NA
NA
2029
0
0
NA
NA
NA
2030
0
0
NA
NA
NA
2031
0
0
NA
NA
NA
2032
0
0
NA
NA
NA
2033
0
0
NA
NA
NA
2034
0
0
NA
NA
NA
2035
0
0
NA
NA
NA
2036
0
0
NA
NA
NA
2037
0
0
NA
NA
NA
2038
0
0
NA
NA
NA
2039
0
0
NA
NA
NA
2040
0
0
NA
NA
NA
2041
0
0
NA
NA
NA
2042
0
0
NA
NA
NA
2043
0
0
NA
NA
NA
2043+
0
0
NA
NA
NA
Other
0
0
NA
NA
NA
-I
24
8,432,000
$121,952.25
1.43%
0.84 %
0.84 %
1.96
$8,475,506.50
$37,792.38 $8,549,926.80
Report created on. November 03, 2014 Pagel of 6
f
Bond holdings - as of October 31, 2014 (continued)
Details of bond holdings
Prepared for City of Hutchinson
RP 38446 • City of Hutchinson • Business Service Account
Risk profile. Conservative
Return Objective. Current Income
Report created on. November 03, 2014 Page 2 of 6
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective
Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call
price ($)
Curr yield (%)
YTW (%) duration
Unreal. g/I ($)
price ($)
Accr interest ($)
port.
8,432,000
1.46%
09/22/2018
NA
$121,952.25
0.84% 1.96
$8,475,506.50
NA
$8,513,298.88
100
Total Bond Portfoliori
1.43%
0.84%
$37,792.38
$36,627.92
$8,549,926.80
Effective rating/
Est. annual
Adjusted
% of
Underlying rating
Effective
Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call
price ($)
Curr yield (%)
YTW (%) duration
Unreal.g/I ($)
price ($)
Accr interest ($)
port.
Maturing 2014
HUNTINGTON NATL BK OH US RT
CD
249,000
0.80%
12/15/2014
1,992.00
0.22% 0.12
249,000.00
100.071
249,176.79
2.93%
00.8000 % MAT 12/15/14 FIXED
080%
022%
176.79
753.14
RATE CD/OH
Total 2014
249,000
0.80%
12/15/2014
$1,992.00
0.22% 0.12
$249,000.00
$249,176.79
2.93
0.80%
0.22%
$176.79
$753.14
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective
Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call
price ($)
Curr yield (%)
YTW (%) duration
Unreal. qll ($)
price ($)
Accr interest ($)
port.
Maturing 2015
ALLY BANK UT US RT 00.9500 %
CD
248,000
095%
02/09/2015
2,356.00
009% 0.28
248,000.00
100.239
248,592.72
2.92
MAT 02/09/15 FIXED RATE CD
095%
0.09%
592.72
542.20
/UT
GOLDMAN SACHS BANK NY US
248,000
1 05%
02/09/2015
2,604.00
048% 0.28
248,000.00
100.157
248,389.36
2.92
RT 01.0500 % MAT 02/09/15
a
r
1.05 %
048%
389.36
599.28
FIXED RATE CD /NY
DORAL BANK PR RT 00.9500 %
CD
248,000
095%
02/10/2015
2,356.00
008% 0.28
248,000.00
100.242
248,600.16
2.92
MAT 02/10/15 FIXED RATE CD
095%
0.08%
600.16
529.29
/PR
GE CAP BK UT US RT 01.1000 %
115,000
1 10 %
06/08/2015
1,265 00
0.52 % 0.60
115,000.00
100.350
115,402.50
1.36
MAT 06/08/15 FIXED RATE CD
110%
052%
402.50
495.60
/UT
BANK LEUMI NY US RT
CD
249,000
0.80%
06/15/2015
1,992.00
011% 0.62
249,000.00
100.427
250,063.23
2.94%
00.8000% MAT 06/15/15 FIXED
0.80%
0.11%
1,063.23
753.14
RATE CD/NY
DISCOVER BANK DE US RT
CD
248,000
1 05%
06/15/2015
2,604.00
036% 0.62
248,000.00
100.426
249,056.48
2.93
01.0500% MAT 06/15/15 FIXED
1.05%
0.36%
1,056.48
998.79
RATE CD/DE
Report created on. November 03, 2014 Page 2 of 6
f
Bond holdings - as of October 31, 2014 (continued)
Prepared for City of Hutchinson
RP 38446 • City of Hutchinson • Business Service Account
Risk profile. Conservative
Return Objective. Current Income
Report created on. November 03, 2014 Page 3 of 6
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. all ($)
price ($)
Accr interest ($)
port.
Maturing 2015
BANK OF CHINA LTD US RT
CD
249,000
0.30 %
06/18/2015
747.00
045% 0.63
249,000.00
99.907
248,768.43
2.92
00.3000 % MAT 06/18/15 FIXED
030%
045%
-231.57
276.29
RATE CD
EVERBANK FL US RT 00.5000 %
248,000
0.50 %
06/19/20151,24000
051% 0.63
248,000.00
99.992
247,980.16
2.91
MAT 06/19/15 FIXED RATE CD /FL
050%
051%
-19.84
455.23
STATE BK US RT 00.5000 % MAT
CD
200,000
0.50 %
06/26/2015
1,00000
0.52 % 0.65
200,000.00
99.989
199,978.00
2.35
06/26/15 FIXED RATE CD
050%
0.52 %
-22.00
345.21
SALLIE MAE BANK UT US RT
248,000
1 10 %
08110/2015
2,728.00
046% 0.77M
248,000.00
100.497
249,232.56
2.93
01.1000% MAT 08/10/15 FIXED
1.09%
0.46%
1,232.56
627.81
RATE CD /UT
SAFRA NATL BK NY US RT
CD
249,000
0.80 %
08/17/2015
1,992 00
0.15% 0.79
249,000.00
100.513
250,277.37
2.94%
00.8000% MAT 08/17/15 FIXED
0.80%
0.15%
1,277.37
420.23
RATE CD /NY
Total 2015
2,550,000
0.82%
05/23/2015
$20,884.00
0.33% 0.56
$2,550,000.00
$2,556,340.97
30.03
0.82%
0.33%
$6,340.97
$6,043.08
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. qll ($)
price ($)
Accr interest ($)
port.
Maturing 2016
AMERICAN EXPRESS C NY US RT
CD
145,000
1 25%
08/09/2016
1 ,812.50
076% 1.75
145,000.00
100.857
146,242.65
1.72
01.2500% MAT 08/09/16 FIXED
1.24%
0.76%
1,242.65
412.16
RATE CD /NY
Total 2016
145,000
1.25%
08/09/2016
$1,812.50
0.76% 1.75
$145,000.00
$146,242.65
1.72
1.24%
0.76%
$1,242.65
$412.16
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt. value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. qll ($)
price ($)
Accr interest ($)
port.
Maturing 2017
MASSACHUSETTS DEPT TRANS
Aa3/AAINR
500,000
2.41 %
01/01/2017
12,040.00
085% 2.10
511,482 63
103.337
516,685.00
6.07
TAX SRBRV BE/R/ 2.408
NWNWNR
2.33%
0.85%
5,202.37
4,013.33
010117 DTD 113011 /MA
FED FARM CREDIT BANK 04.875
Aaa/AAA/AA+
431,000
4.88%
01/17/2017
21,011.25
0.76% 2.09
456,081.11
109.011
469,837.41
5.52%
DUE 011717 DTD 010907 FC
07172007
NWNWNR
447%
0.76%
13,756.30
6,069.92
COMENITY BANK DE US RT
CD
200,000
1.15 %
06/19/2017
2,300.00
1.30% 2.59
200,000.00
99.600
199,200.00
2.34%
01 1500% MAT 06/19/17 FIXED
115%
130%
-800.00
176.44
RATE JUMBO CD /DE
Report created on. November 03, 2014 Page 3 of 6
f
Bond holdings - as of October 31, 2014 (continued)
Prepared for City of Hutchinson
RP 38446 • City of Hutchinson • Business Service Account
Risk profile. Conservative
Return Objective. Current Income
Total 2019
Effective rating/
500,000
2.35%
08/01/2019
Est annual
1.93% 4.46
Adjusted
$509,440.00
5.98
% of
Underlying rating
Effective Call date/
income ($)I
YTM (%)I Modified
cost basis ($)I
Market
Mkt value ($)I
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. all ($)
price ($)
Accr interest ($)
port.
Maturing 2017
Effective Call date/
income ($)/
YTM (%)/ Modified
cost basis ($)/ Market
Mkt. value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
GE CAP UT US RT %
Curr yield (%)
130,000
1 75%
08103/2017
2,275.00
131% 2.69
130,000.00
101.198
131,557.40
1.55
C0
MAT 08/0303 RATE /17 FIXED RATE CD
z
1.73 %
1.31 %
1,557.40
2.09 %
168.29
10,450.00
/UT
499,995.00 101.128
-
5.94%
B BE/R/ 2.090 050120 DTD
NWNWNR
2.07 %
1.87 %
GE CAP RETAIL BK UT US RT
CD
247,000
1 75%
08103/2017
4,322.50
1.31 % 2.68
247,000.00
101.198
249,959.06
2.94%
01 7500% MAT 08/03/17 FIXED
Total 2020
500,000
1.73 %
1.31 %
2,959.06
1.87% 5.12
1,042 14
$505,640.00
RATE CD WT
2.07%
1.87%
$5,645.00
$4,441.25
SUN NATL BK NJ US RT
CD
240,000
1 00%
10/03/2017
_
2,400.00
0.57 % 2.88
240,000.00
101.242
242,980.80
2.85
01 0000% MAT 10/03/17 FIXED
099%
0.57 %
2,980.80
177.53
RATE CD /NJ
Total 2017
1,748,000
2.58%
04/16/2017
$44,348.75
0.93% 2.38
$1,784,563.74
$1,810,219.67
21.26
2.45%
0.93%
$25,655.93
$11,647.65
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective Call date/
income ($)/
YTM (%)/ Modified
cost basis ($)/
Market
Mkt value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. qll ($)
price ($)
Accr interest ($)
port.
Maturing 2018
ENERBANK UT US RT 01.3500 %
CD
240,000
1 35%
10/04/2018
3,240.00
1.77 % 3.82
240,000.00
98.412
236,188.80
2.77
MAT 10/04/18 FIXED RATE CD
1.37 %
1.77 %
-3,811.20
239.67
/UT
Total 2018
240,000
1.35%
10/04/2018
$3,240.00
1.77% 3.82
$240,000.00
$236,188.80
2.77
1.37%
1.77%
$-3,811.20
$239.67
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective Call date/
income ($)/
YTM (%)/ Modified
cost basis ($)/
Market
Mkt value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. qll ($)
price ($)
Accr interest ($)
port.
Maturing 2019
RIVERSIDE CACMNTYCOLGE
Aa2/NWAA
500,000
2.35%
08101/2019
11,725.00
1.93% 4.46
506,947.76
101.888
509,440.00
5.98%
TAX SRB BE/R/ 2.345
NWNWNR
2.30%
1.93%
2,492.24
2,931.25
080119 DTD 052914/CA
Total 2019
500,000
2.35%
08/01/2019
$11,725.00
1.93% 4.46
$506,947.76
$509,440.00
5.98
2.30%
1.93%
$2,492.24
$2,931.25
Effective rating/
Est annual
Adjusted
% of
Underlying
rating
Effective Call date/
income ($)/
YTM (%)/ Modified
cost basis ($)/ Market
Mkt. value ($)/
bond
(Mdy/Fitch/S&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. qll ($) price ($)
Accr interest ($)
port.
Maturing 2020
MASS ST GO CONSOL W TAX SR
Aal/AA+IAA+
500,000
2.09 %
05/01/2020
10,450.00
1.87 % 5.12
499,995.00 101.128
505,640.00
5.94%
B BE/R/ 2.090 050120 DTD
NWNWNR
2.07 %
1.87 %
5,645.00
4,441 25
052814 /MA
Total 2020
500,000
2.09%
05/01/2020
$10,450.00
1.87% 5.12
$499,995.00
$505,640.00
5.94
2.07%
1.87%
$5,645.00
$4,441.25
Report created on. November 03, 2014
Page 4 of 6
f
Bond holdings - as of October 31, 2014 (continued)
Prepared for City of Hutchinson
RP 38446 • City of Hutchinson • Business Service Account
Risk profile. Conservative
Return Objective. Current Income
Report created on. November 03, 2014 Page 5 of 6
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt value ($)/ bond
(MdylFitchlS&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. all ($)
price ($)
Accr interest ($) port.
Maturing 2022
FHLB STEP UP CALL BOND 01 000
NWNWAA+
1,500,000
1.00%
12/2812022 12/28/2014
15,000.00
NA NA
1,500,000.00
100.050
1,500,750.00 17.63%
DUE 122822 DTD 122812 FC
NWNWNR
100.00
1.00%
NA
750.00
5,125.00
06282013
Total 2022
1,500,000
1.00%
12/28/2022
$15,000.00
NA
$1,500,000.00
$1,500,750.00 17.63
1.00%
NA
$750.00
$5,125.00
Effective rating/
Est. annual
Adjusted
% of
Underlying rating
Effective Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt value ($)/ bond
(MdylFitchlS&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. qll ($)
price ($)
Accr interest ($) port.
Maturing 2023
FHLB BOND STEP-UP 1.2500%
Aaa/NWAA+
1,000,000
1.25%
06/06/2023 12/06/2014
12,500.00
NA NA
1,000,000.00
99.930
999,300.00 11.74%
DUE 060623 DTD 060613 FC
NWNWNR
100.00
1.25 %
NA
-700.00
5,034.72
12062013
Total 2023
1,000,000
1.25%
06/06/2023
$12,500.00
NA
$1,000,000.00
$999,300.00 11.74
1.25%
NA
$-700.00
$5,034.72
Effective rating/
Est annual
Adjusted
% of
Underlying rating
Effective Call date/
income ($)/
YTM (%B Modified
cost basis ($)/
Market
Mkt value ($)/ bond
(MdylFitchlS&P)
Quantity
Coupon
maturity Call price ($)
Curr yield (%)
YTW (%) duration
Unreal. g/I ($)
price ($)
Accr interest ($) port.
8,432,000
1.46%
09/22/2018 NA
$121,952.25
0.84% 1.96
$8,475,506.50
NA
$8,513,298.88 100
T
1.43%
0.84%
$37,792.38
$36,627.92
$8,549,926.80
Report created on. November 03, 2014 Page 5 of 6
41RA
Hutchinson Housing &
Redevelopment Authority
Regular Board Meeting Tuesday, October 21, 2014, 7:00 AM
Minutes
CALL TO ORDER: Chairman LaVonne Hansen called the meeting to order. Members Present: Gary
Forcier, LouAnn Holmquist, Steve Jensen and Joel Kraft. Staff Present: Jean Ward and Judy
Flemming.
2. CONSIDERATION OF MINUTES OF THE REGULAR BOARD MEETING ON SEPTEMBER 16,
2014
Joel Kraft moved to approve the Minutes of the regular board meeting as written. Steve Jensen
seconded and the motion carried unanimously.
3. FINANCIAL REPORTS
a. Steve Jensen moved to approve the City Center General Fund payments of $25,375.80 for checks
8530 to 8549. LouAnn Holmquist seconded and the motion carried unanimously.
b. Steve Jensen moved to approve the City Center September 30, 2014 Financial Reports. LouAnn
Holmquist seconded and the motion carried unanimously.
c. Gary Forcier moved to approve the Park Towers operating account payments of $82,465.47 for
checks 12969 to 13008. LouAnn Holmquist seconded and the motion carried unanimously.
d. Joel Kraft moved to approve the August 2014 Park Towers financial statements. Steve Jensen
seconded and the motion carried unanimously.
4, PARK TOWERS UPDATE
a. Jean Ward reviewed with the Board the September 1, 2014 Occupancy summary report: current
100% occupancy, year to date 99%, the goal of for the whole year is 98%.
b. Jean Ward gave the board an update on the current beg bug treatment process.
c. .lean Ward reviewed with the Board the POHP application, Steve Jensen moved to approve
Resolution 42014-10 to Submit GO Bond application for Elevator project. Joel Kraft seconded and
the motion carried unanimously.
d. Jean Ward reviewed with the Board the PHAS high performer bonus for 2015 Capital Funds.
e. Jean Ward reviewed with the Board the 2014 Operating subsidy final pro -ration 88.79% or
130,658.80
f. FYI: Park Towers Liability Low Loss Ratio Award
g. FYI: City Council Approval of AT&T I't Lease Amendment for Park Towers
SCHOOL CONSTRUCTION PROGRAM
a. 445 Adams Street — Judy Flemming reviewed the construction schedule with the Board.
b. Jean Ward reviewed with the Board the 907 Lewis Sale Price $154,900, Value Gap request
$11,984.01 (including $12,500 developer fee of $12,500 with $2500 to Hutchinson Public
Schools).
6. SCDP Program
a. Jean Ward reviewed with the Board the information about the new program. Steve Jensen moved
to approve Resolution 42014-11 Amending the City Revolving Owner Occupied Rehab Loan
Program Procedural Guide. LouAnn Holmquist seconded and the motion carried unanimously.
October 21, 2014 Minutes Page I of 2
b. Steve Jensen moved to approve CRPI Loan #I - McLain contingent to the Loan Committee's
approval. LouAnn Holmquist seconded and the motion carried unanimously.
c. Joel Kraft moved to approve the Rental Rehab Pre -application and referral to the October 28"' City
Council meeting regarding preliminary application signature. LouAnn Holmquist seconded and the
motion carried unanimously.
7. COMMUNICATIONS
a. Jean Ward reviewed with the Board the Housing TIF memo for the Century Court expansion.
b. FYI: Housing statistics
c. FYI: Foreclosure sales
8. ADJOURNMENT
Joel Kraft moved to adjourn and Steve Jensen seconded. There being no other business, Chairman
LaVonne Hansen declared the meeting adjourned.
Recorded by Jean Ward, HRA Executive Director
Fortier, SecretarylTreasurer
October 21, 2014 Minutes Page 2 of 2
Planning and Zoning Monthly Activities MonthNear: October, 2014
Activity
Number
Additional Info.
Number of Planning Applications Reviewed and
3
Conditional Use Permit for 1500 sq. ft.
Processed
garage at 55 North High Dr NE;
Conditional Use Permit for Storage use
at 125 Erie St SE; Conditional Use
Permit for Storage use at 135 Monroe
St SE
Number of Joint Planning Board Applications
1
Conditional Use Permit for Kranz Lawn
Reviewed and Processed
& Repair outdoor display
Number of Planning Commission Meetings
1
Preliminary and Final Plat of Menard
Third Addition
Number of Joint Planning Meetings
1
Variance to reduce the 1320 ft feedlot
setback to 820ft from a neighboring
residential dwelling Buss
Number of Zoning Reviews for Building Permits
16
(Compliance with Zoning Code)
Number of Land Use Permits Issued -(Fences,
5
small sheds, patios, driveways, detached decks, etc.)
Number of Zoning Review for Sign Permits
7
Number of Predevelopment/Pre Application
1
Possible Plat in Joint Planning Area
Meetings
Number of Misc. Planning Meetings
18
Management Team - 4
Resource Allocation
City Council - 2
Directors Meeting - 2
Rental - 2
Planning Conference - Duluth
Public Arts
Don Hanson 845 Roberts grading
Law Enforcement Park Dedication
Facility Walk-thru
Carlos & Vivian Gonzalez
Land Use Training
Number of Zoning Enforcement Cases
2
5t Ave SW.
Number of Walk -In Customers Served
369
Site Visits
6
Century Ct, NU -Crane
Planning, Zoning and Building Dept. Monthly Report
October 2014
Building Department Permit Activities
A Commercial New
B Commercial/Ind. Remodel 1065 5th Ave SE -truck dock modification McLeod Solid Waste $200,000; 1310 HWY 15 S
suite 102 -remodel Pizza Hut $140,000; 720 HWY 7 W -addition to Hutch Manufacturing
C New Single Family 1181 Bluejay Dr SW - $208,000; 1185 Bluejay Dr SW - $208,000; 420 Toronto Blvd SE - $249,000; 1150
Bluejay Dr SW - $185,000; 1255 Denver Ave SE - $240,557; 730 Lakewood Dr SW - $216,000; 1291
Denver Ave SE - $158,875; 260 Ottawa Ave SE - $180,000; 264 Ottawa Ave SE - $180,000
Other Building Inspection Activities Oct. 14 - Are you Ready, St. Cloud; Oct. 15 - Mechanical, Mankato; Oct. 21 - facilities
walk through
Evergreen Meals served in October
Week of
Hutchinson
10/2013
10/2014
2013 Year to Date
2014 Year to Date
Total Number Inspections
10/1-10/4
117
235
25
1484
37
1724
% of Inspections done within 24 HRS
322
100.0%
100.00%
241
99.80%
90
99.80%
Total Number Plan Review
113
15
22
49
172
10/19-10/2
196
% of Plan Reviews completed in 21 Days
49
100%
100%
70
100%
243
100%
Building Permits Issued by Type
Number of Permits &
Valuation
Number of Permits &
Valuation
Year to Date Number
Permits & Valuation
Year to Date Number
Permits & Valuation
Commercial (new)
2
$728,000.00
0 $0.00 A
6
$4,031,400.00
2
$504,000.00
Commercial ( additions/remodels)
10
$220,000.00
12 $728,200.00 B
76
$3,074,801.00
62
$2,236,100.00
Total Commercial
12
$948,000.00
12 $728,200.00
82
$7,106,201.00
64
$2,740,100.00
Industrial (new)
0
$0.00
0
1
$1,200,000.00
Industrial (additions/remodels)
0
$0.00
0 $0.00
1
$20,000.00
1
$156,000.00
Total Industrial
0
$0.00
0 $0.00
2
$1,220,000.00
1
$156,000.00
Fire Sprinkling
3
$36,350.00
3 $7,475.00
9
$101,135.00
5
$13,825.00
New Residential
2
$334,000.00
9 $1,825,432.00
10
$2,022,254.00
21
$4,355,500.00
Residential misc (additions/remodels)
5
$25,000.00
9 $42,430.00
118
$655,170.00
1241
$1,397,556.00
Set Fee permits (reside, reroof, window)
69
54
485
427
HRA Permits
3
$12,500.00
0 $0.00
6
$166,500.00
4
$256,699.00
Waived Fees (started in march)
1 $20,250.00
15
$1,779,595.00
Subtotal Building Permits
94
$1,355,850.00
88 $2,623,787.00
712 $11,271,260.00
661
$10,699,275.00
Mechanical
20
$27,434.00
25 $115,976.00
140
$655,103.00
1821
$1,640,148.00
HRA Mechanical
0
0
4
1
Plumbing
4
17
62
75
HRA Plumbing
0
0
2
0
Signs
26
$635.00
7 $38.00
101
$1,314.00
55
$69.00
Total Valuation
11441
$1,383,919.00 137 $2,739,801.00 110211$11,927,677.00
974
$12,339,492.00
*Set fees not included in valuation
A Commercial New
B Commercial/Ind. Remodel 1065 5th Ave SE -truck dock modification McLeod Solid Waste $200,000; 1310 HWY 15 S
suite 102 -remodel Pizza Hut $140,000; 720 HWY 7 W -addition to Hutch Manufacturing
C New Single Family 1181 Bluejay Dr SW - $208,000; 1185 Bluejay Dr SW - $208,000; 420 Toronto Blvd SE - $249,000; 1150
Bluejay Dr SW - $185,000; 1255 Denver Ave SE - $240,557; 730 Lakewood Dr SW - $216,000; 1291
Denver Ave SE - $158,875; 260 Ottawa Ave SE - $180,000; 264 Ottawa Ave SE - $180,000
Other Building Inspection Activities Oct. 14 - Are you Ready, St. Cloud; Oct. 15 - Mechanical, Mankato; Oct. 21 - facilities
walk through
Evergreen Meals served in October
Week of
Hutchinson
Park
Towers
Silver Lake
Glencoe
Brownton
Stewart
10/1-10/4
165
73
25
79
37
40
10/5-10/11
322
162
95
241
78
90
10/12-10/11
233
113
42
137
49
77
10/19-10/2
250
105
49
137
78
70
10/26-10/3
243
115
40
141
21
71
Total
1213
568
251
735
263
348
Total Meals served in October 3378
Dates Closed
MINUTES
HUTCHINSON PLANNING COMMISSION
Tuesday, October 21, 2014
5:30 p.m.
1. CALL TO ORDER 5:30 P.M.
Vice Chair Norton called the meeting to order at 5:30 pm. Members in bold were present
Chair Hantge, Commissioner Lofdahl, Commissioner Johnston, Commissioner
Kirchoff, Commissioner Norton, Commissioner Fahey, and Commissioner Arndt. Also
present were Dan Jochum, Director of Planning, Marc Sebora, City Administrator/City
Attorney, and Kyle Dimler, Planning and Building Specialist.
2. PLEDGE OF ALLEGIANCE
3. CONSENT AGENDA
A. CONSIDERATION OF MINUTES DATED SEPTEMBER 16, 2014
Motion by Commissioner Lofdahl, second by Commissioner Johnston to approve.
Approved unanimously.
4. PUBLIC HEARINGS
A. CONSIDERATION OF PRELIMINARY AND FINAL PLAT OF MENARD
THIRD ADDITION AND SITE PLAN APPROVAL FOR 1450 MONTREAL
ST. SE, SUBMITTED BY VINCENT DRIESSEN, APPLICANT.
Commissioner Johnston read meeting rules for public hearing aloud.
Vice Chair Norton stated the agenda item for consideration by the Commission.
Mr. Dan Jochum, City Planner, addressed the Commission. Mr. Jochum
presented the Staff Report, included in Planning Commission packet, to the
Commission.
Mr. Jochum noted Lot 2, which is 1.03 acres, is reserved for future development.
Minimum size of lot for development in this zoning district is 1 acre.
Mr. Jochum noted his thanks to the developer for presenting a very complete set
of plans for staff review.
Mr. Jochum stated the proposed building meets all required setbacks and zoning
requirements. The building is anticipated to fit well in the area with regard to
aesthetics and use.
Mr. Jochum noted staff concerns with high amount of impervious surface due to
excess parking space provision. Staff recommends eliminating 6 parking spaces,
increasing green space on site. Staff recommends shortening parking spaces on
Minutes
Hutchinson Planning Commission
October 21, 2014
Page 2
north and south sides of parking lots from 20' deep to 18.5' deep, allowing
vehicle bumpers to overhang the parking area curbing and increasing green space
on site.
Staff noted a condition of the plat is to be that the remaining lot to the south will
only be permitted to have one street access for its site.
Mr. Jochum noted that the developer has provided vegetative screening for the
truck loading dock area that is expected to always have a truck in dock for
loading.
Mr. Jochum stated that the zoning ordinance requires 1 tree per 800 sq. ft. of
landscaped area of the site. The proposed tree species are acceptable to the City
Arborist; however the final landscape plan will be reviewed at the time of
building permit application.
Staff recommends requiring an approximately 2'- 3' high berm be constructed on
the east side of building, in the landscaped area, with two rows of trees to provide
additional screening for the trash compactor area.
Commissioner Norton asked if the Staff recommendations have been
communicated to the developer.
Mr. Jochum asked Commission to consider the limited amount of vegetation on
north side of the site. Proposal does meet the standard but staff would like to see
more balanced planting around site perimeter.
Commissioner Norton asked if site screening for the Maurice's development to
the north was required at a similar level.
Mr. Jochum noted the Maurice's development had a shared access with limited
green space.
Commissioner Johnston noted reducing height of parking lot curbing to a B-5 or
B-4 rather than a B-6 should be considered if approving Staff Recommendation to
reduce parking lot area requiring vehicles to overhang curb.
Commissioner Kirchoff asked to clarify if the drop off area shown on the plans is
a drive-through. Mr. Jochum stated that Staff does not believe this portion of the
building meets the intended use of the ordinance language requiring a C.U.P. for a
drive through.
Matt Poppel, representing General Contractor and applicant, addressed the
Commission. Mr. Poppel noted the developer is willing to comply with the stated
Staff Recommendations. Mr. Poppel noted the recommended modification of the
parking area will increase landscaped area and require 3 additional trees on the
site.
Minutes
Hutchinson Planning Commission
October 21, 2014
Page 3
Mr. Jochum again noted the final landscape plan will be reviewed for approval at
the time of building permit application.
Motion by Commissioner Lofdahl/, seconded by Commissioner Kirchoff to close
the public hearing at 5:53pm.
Motion by Commissioner Lofdahl, seconded by Commissioner Kirchoff to
approve the request with Staff recommendations of the addition of trees on the
north side of the site, reduction of 6 parking spaces, and the construction of a 2' —
3' berm on the east side of the building. The motion passed unanimously. This
item will be on 10/28/14 City Council consent agenda.
Motion to close hearing — Motion to approve with staff recommendations — Motion to reject
5. UNFINISHED BUSINESS
None.
6. COMMUNICATION FROM STAFF
Mr. Jochum noted PB/Z is up to 20 single family dwelling permits. Staff will be
working on River Overlay District and other areas of zoning ordinance this winter. Staff
would like to work to include Interim Use Permits.
Mr. Sebora noted that City Council has been discussing modifications to Liquor
Licensing Ordinance. First reading of ordinance was read at last meeting.
Mr. Jochum noted the JPB has been working with an application for a CUP and Variance
for a dairy operation on the northern edge of the JPA. Variance moved setback from
1320' to 820' from a neighboring property. Noted the JPB is advisory to the County
Board.
Mr. Sebora stated the topic will come up in the future of how well the JPB serves the
interests of the City and whether the City should maintain involvement in the JPB. Mr.
Jochum explained the City's administrative involvement in the process and how it
appears to give some of the public the impression that the City is responsible for the
actions of the JPB. Mr. Sebora noted the
A. Upcoming Meetings
7. ADJOURNMENT
Motion by Commissioner Lofdahl, seconded by Commissioner Kirchoff to adjourn the
meeting. Motion passed unanimously.