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cp08-27-2013Workshop Comprehensive Plan 4: 00 p.m. AGENDA REGULAR MEETING — HUTCHINSON CITY COUNCIL TUESDAY, AUGUST 27, 2013 1. CALL TO ORDER— 5:30 P.M. 2. INVOCATION — Riverside Assembly of God 3. PLEDGE OF ALLEGIANCE 4. RECOGNITION OF GIFTS. DONATIONS AND COMMUNITY SERVICE TO THE CITY 5. PUBLIC COMMENTS 6. MINUTES (a) REGULAR MEETING OF AUGUST 13, 2013 Action — Motion to reject — Motion to approve 5 min. 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. 14181 - RESOLUTION ACCEPTING DONATION FROM HUTCHINSON CHAMBER OF COMMERCE (b) PLANNING COMMISSION ITEMS 1. CONSIDERATION OF REZONING PROPERTY AT 1025 DALE STREET SW FROM R1 TO R4 TO ALLOW FOR DEVELOPMENT OF A 30 -UNIT MEMORY CARE FACILITY WITH FAVORABLE PLANNING COMMISSION RECOMMENDATION (SECOND READING AND ADOPTION) 2. CONSIDERATION OF CONDITIONAL USE PERMIT AND SITE PLAN FOR DEVELOPMENT OF A 30 -UNIT MEMORY CARE FACILITY LOCATED AT 1025 DALE STREET WITH FAVORABLE PLANNING COMMISSION RECOMMENDATION (ADOPT RESOLUTION NO. 14176) (c) CONSIDERATION FOR APPROVAL OF APPOINTING MARK GIRARD TO THE HUTCHINSON UTILITIES COMMISSION TO DECEMBER 2016 (UNEXPIRED TERM OF LEON JOHNSON) (d) CONSIDERATION FOR APPROVAL OF CHANGE ORDER NO. X — LETTING NO. 10, PROJECT NO. 13 -10 (2013 CITY PARKING LOT IMPROVEMENTS) (e) CONSIDERATION FOR APPROVAL OF AIRPORT WORK ORDER 2 — OBSTRUCTION REMOVAL CITY COUNCIL AGENDA AUGUST 27, 2013 (f) CONSIDERATION FOR APPROVAL OF ANNUAL POLY BAG FILM PURCHASE FOR BAGGING OPERATIONS AT CREEKSIDE (g) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — CHECK REGISTER A (h) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — CHECK REGISTER B (i) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — CHECK REGISTER C Action — Motion to reject — Motion to approve 10 min. (a) UPDATE ON OWNER OCCUPIED REHAB SMALL CITIES DEVELOPMENT PROGRAM GRANT CDAP -11- 0023 -0 -FY 12 Action — Motion to reject — Motion to approve 9. COMMUNICATIONS. REQUESTS AND PETITIONS (Purpose: to provide Council with information necessary to craft wise policy. Always looking toward the future, not monitoring past) 15 min. (a) UPDATE BY COALITION OF GREATER MINNESOTA CITIES ON LEGISLATIVE SESSION — AMANDA DUERR No action. 15 min. (b) UPDATE FROM FACILITIES COMMITTEE No action. 10. UNFINISHED BUSINESS 10 min. (a) CONSIDERATION FOR APPROVAL OF AIRPORT HANGAR LEASE Action — Motion to reject — Motion to approve 10 min. (b) CONSIDERATION OF ORDINANCE NO. 13 -715 - AN ORDINANCE APPROVING REVISIONS TO SECTIONS 5.02 AND 13.03 OF HUTCHINSON CITY CHARTER AS RECOMMENDED BY THE CHARTER COMMISSION (FIRST READING, SET SECOND READING) Action — Motion to reject — Motion to approve 11. NEW BUSINESS 5 min (a) CONSIDERATION FOR APPROVAL OF 2013 ANNUAL RECOGNITION EVENT Action — Motion to reject — Motion to approve 2 CITY COUNCIL AGENDA AUGUST 27, 2013 10 min (b) CONSIDERATION OF ORDINANCE NO. 13 -0716 — AN ORDINANCE ADOPTING SECTION 30.16 — EXPENDITURES BY PETITIONERS (FIRST READING, SET SECOND READING) Action — Motion to reject — Motion to approve 10 min (c) CONSIDERATION OF ORDINANCE NO. 13 -0717 — AN ORDINANCE AMENDING SECTION 112.121 — CONSUMPTION & DISPLAY — RESTRICTIONS AND REGULATIONS (FIRST READING, SET SECOND READING) Action — Motion to reject — Motion to approve 5 min (d) CONSIDERATION FOR APPROVAL OF SETTING COUNCIL WORKSHOP FOR SEPTEMBER 24, 2013, AT 4:00 P.M. TO DISCUSS SWIMMING POOL PROJECT Action — Motion to reject — Motion to approve 12. GOVERNANCE (Purpose: to assess past organizational performance, develop policy thatguides 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 AUGUST 6, 2013 (b) CITY OF HUTCHINSON FINANCIAL REPORTS AND INVESTMENT REPORT FOR JULY 2013 (c) PARKS, RECREATION, COMMUNITY EDUCATION BOARD MINUTES FROM JULY 1, 2013 (d) TREE BOARD MEETING MINUTES FROM JULY 29, 2013 (e) PLANNING, ZONING, BUILDING DEPARTMENT MONTHLY REPORT FOR JULY 2013 (fl HUTCHINSON HOUSING & REDEVELOPMENT AUTHORITY BOARD MINUTES FROM AUGUST 12, 2012, AND JULY 16, 2013 13. MISCELLANEOUS 14. ADJOURN 3 MINUTES REGULAR MEETING — HUTCHINSON CITY COUNCIL TUESDAY, AUGUST 13, 2013 1. CALL TO ORDER — 5:30 P Mayor Steve Cook called the meeting to order. Members present were Bill Arndt, Mary Christensen and Gary Fortier. Member absent was Chad Czmowski. Others present were Kent Exner, City Engineer and Marc Sebora, City Attorney. 2. INVOCATION — Due to the absence of a pastor, the invocation was dispensed. 3. PLEDGE OF ALLEGIANCE 4. RECOGNITION OF GIFTS, DONATIONS AND COMMUNITY SERVICE TO THE CITY Council Member Christensen thanked the Chamber of Commerce for putting on Music in the Park over the Summer. Council Member Arndt thanked the Hutchinson Theatre Company for putting on this summer's musical. Mayor Cook congratulated the VFW Post 906 baseball team on taking second place in the State Tournament. Mayor Cook also commented on the successful Garlic Festival held this past weekend. 5. PUBLIC COMMENTS John Dietel, 185 Arch Street SE, asked the status of the chicken ordinance. Marc Sebora, City Attorney, explained that city staff has been working on the ordinance as directed by the city administrator. Staff met as recently as a couple of weeks ago to begin drafting an ordinance and consider information brought forward from stakeholders. The intention is to have an ordinance in place by the end of 2013. Vern Showalter, 1055 Dale Street SW, presented before the Council. Mr. Showalter noted he has concerns with the proposed memory care project that is being considered directly behind his property. His wife is a shift worker and the Showalters have concerns with noise and other activity. Mr. Showalter requested that a buffer or fencing be considered as part of the project. Jim Pease, 1065 Dale Street, presented before the Council. Mr. Pease voiced concerns with the proposed memory care facility considered to be built behind his property and requested that buffers or fencing be included with the project. Mr. Pease expressed that he feels perhaps the value of his property will decrease because of this additional project with there being no more single- family homes on his block, but rather he is surrounded by elderly care facilities. 6. MINUTES (a) REGULAR MEETING OF JULY 23, 2013 Motion by Christensen, second by Forcier, to approve the minutes as presented. 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) CITY COUNCIL MINUTES — A UG UST 13, 2013 (a) RESOLUTIONS AND ORDINANCES 1. RESOLUTION NO. 14177 — RESOLUTION TO SELL UNCLAIMED PROPERTY (BICYCLES) 2. RESOLUTION NO. 14178 - RESOLUTION TO ESTABLISH SUPPORT FOR CITY WASTEWATER DELEGATED PRETREATMENT PROGRAM 3. ORDINANCE NO. 13 -713 - ORDINANCE APPROVING FRANCHISE AGREEMENT WITH MIDWEST WIRELESS COMMUNICATIONS, LLC (SECOND READING AND ADOPTION) (b) PLANNING COMMISSION ITEMS 1. CONSIDERATION OF CONDITIONAL USE PERMIT TO ALLOW CONSTRUCTION OF TWO POLE BUILDINGS FOR COLD STORAGE AT PRIDE SOLUTIONS LLC LOCATED AT 120 EASTGATE DRIVE SE WITH FAVORABLE PLANNING COMMISSION RECOMMENDATION (ADOPT RESOLUTION NO. 14175) 2. CONSIDERATION OF REZONING PROPERTY AT 1025 DALE STREET SW FROM R1 TO R4 TO ALLOW FOR DEVELOPMENT OF A 30 -UNIT MEMORY CARE FACILITY WITH FAVORABLE PLANNING COMMISSION RECOMMENDATION (WAIVE FIRST READING AND SET SECOND READING AND ADOPTION OF ORDINANCE NO. 13 -714 FOR AUGUST 27, 2013) (c) CONSIDERATION FOR APPROVAL OF EVENT CENTER SERVICE ROAD CLOSURE ON SEPTEMBER 27, 2013 (d) CONSIDERATION FOR APPROVAL OF `BE l OF 100" RUN ON AUGUST 21, 2013 (e) CONSIDERATION FOR APPROVAL OF IMPROVEMENT PROJECT CHANGE ORDERS - CHANGE ORDER NO.2 — LETTING NO. 8B/PROJECT NO. 13 -08B — DEPOT SITE IMPROVEMENTS - CHANGE ORDER NO. 3 — LETTING NO. UPROJECT NO. 12-01— 5T" AVENUE NW IMPROVEMENTS (f} CONSIDERATION FOR APPROVAL OF AIRPORT MAINTENANCE AND OPERATIONS AGREEMENT (g) CONSIDERATION FOR APPROVAL OF AIRPORT HANGAR LEASE (h) CONSIDERATION FOR APPROVAL OF AIRPORT GRANT ASSURANCES (i) CONSIDERATION FOR APPROVAL OF DEPOT RAIN GARDEN GRANT APPLICATION (j) CONSIDERATION FOR APPROVAL OF OUTDOOR EVENTS ON SEPTEMBER 27 & 28, 2013, AS REQUESTED BY LAMPLIGHTER II (k) CONSIDERATION FOR APPROVAL OF SUPPORT OF 39TH ANNUAL CHAMBER OF 2 CITY COUNCIL MINUTES — A UGUST 13, 2013 COMMERCE ARTS & CRAFTS FESTIVAL ON SEPTEMBER 13 & 14, 2013 (1) CONSIDERATION FOR APPROVAL OF AMENDING LIQUOR LICENSE CONSUMPTION POLICY AT MCLEOD COUNTY FAIRGROUNDS DURING MCLEOD COUNTY FAIR FROM AUGUST 14-18,2013 (m) CONSIDERATION FOR APPROVAL OF ISSUING SHORT -TERM GAMBLING LICENSE TO CROW RIVER CUTTERS OF THE NATIONAL WILD TURKEY FEDERATION ON FEBRUARY 7 & 8, 2014, AT MCLEOD COUNTY FAIRGROUNDS (n) CONSIDERATION FOR APPROVAL OF ISSUING TEMPORARY LIQUOR LICENSE TO ST. ANASTASIA CATHOLIC CHURCH ON SEPTEMBER 7 & 8, 2013 (o) CONSIDERATION FOR APPROVAL OF SETTING CITY COUNCIL WORKSHOP FOR AUGUST 23, 2013, AT 4:00 P.M. TO REVIEW COMPREHENSIVE PLAN (p) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — REGISTER A (q) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — REGISTER B (r) CLAIMS, APPROPRIATIONS AND CONTRACT PAYMENTS — REGISTER C Items 7(a)2, 7(b)l, 7(b)2, 7(g), 7(1), 7(o), and 7(q) were pulled for separate discussion. Motion by Arndt, second by Forcier, to approve consent agenda with the exception of the items noted above. Motion carried unanimously. Item 7(a)2 had further discussion. Mayor Cook that fixrther explanation be given regarding the pretreatment program. John Paulson, Environmental Specialist, presented before the Council. Mr. Paulson explained that the MPCA has statutory delegation authority to delegate wastewater pretreatment program administration to municipalities. This means that the City is being delegated additional regulatory duties to go along with its current wastewater pretreatment program. This authority recognizes the programs the City already has in place and also allows the removal of one layer of regulation for industries, whereby the City can issue permits and other licenses to the industries that the MPCA does now. Motion by Arndt, second by Christensen, to approve Item 7(a)2. Motion carried unanimously. Item 7(b)1 had further discussion. Dan Jochum, Planning Director, presented before the Council. Mr, Jochum noted that the applicant has requested that construction of one building be permitted rather than two buildings as approved by the Planning Commission. The applicant has determined that one larger structure will work better for their plans versus the two buildings that were proposed to the Planning Commission. Mr. Jochum explained that pole type constructed structures are allowed by conditional use permit. Because the applicant is not amending anything material to the application, it appears reasonable for the City Council to consider the amended request to go from two buildings to one. Mayor Cook asked if approval of the City Engineer should be required due to the ponding requirements in the area. This will be added to Item G on Resolution No. 14175. Motion by Arndt, second Forcier, to approve Item 7(b)l. Motion carried unanimously. 3 CITY COUNCIL MINUTES — A UGUST 13, 2013 Item 7(b)2 had further discussion. Mayor Cook noted that two members of the public spoke during the public comments period of this meeting with concerns. Mayor Cook also mentioned some drainage concerns in the area, however he reminded the Council that this evening's action is only to rezone the area from R1 to R4. A rezoning requires an ordinance with two readings. Mr. Jochum explained that at the next Council meeting, the site plan and conditional use permit will be considered along with the second reading of the rezoning ordinance. Perhaps concerns of the neighbors could be addressed at that time. Mr. Jochum mentioned that the traffic should not be as busy as perhaps the neighbors are thinking it may be. Mayor Cook mentioned that this memory care project falls very well within the comprehensive plan. Motion by Arndt, second by Cook, to approve Item 7(b)2. Motion carried unanimously. Item 7(g) had further discussion. Mayor Cook asked that this item be tabled to allow more time for the city attorney and city administrator to review in more detail — such as the escalating rent price and other items. Motion by Arndt, second by Cook, to table Item 7(g) to August 27, 2013. Motion carried unanimously. Item 7(1) had further discussion. Council Member Arndt noted that the Fair Board discussed this item last night and he asked the police chief to explain the new process of beer consumption at the McLeod County Fair. Chief Hatten presented before the Council. Chief Hatten noted that beer has been consumed at the Fair for decades. Historically, the area around the pavilion where the beer is sold and where entertainment stages are contained has been fenced off and beer was only allowed to be consumed in that area. The change being proposed this year is to allow beer consumption outside of that perimeter within the entire area of the Fairgrounds. All beer consumers must wear a band showing they are of legal age to consume alcohol. In addition, when the evening entertainment begins, such as approximately 7:30 p.m., all beer will only be allowed to be consumed within that inner- perimeter fence that surrounds the stages. This change will be reviewed after the Fair to address any major issues. Motion by Arndt, second by Forcier, to approve Item 7(1). Motion carried unanimously. Item 7(0) had further discussion. Mayor Cook clarified that the workshop date to be considered is August 27, 2013 (not August 23) prior to the Council meeting. August 27, 2013, at 4:00 p.m. works for all Council Members present. Motion by Christensen, second by Forcier, to set Council workshop for August 27, 2013, at 4:00 p.m. to review the comprehensive plan. Motion carried unanimously. Item 7(q) had further discussion. Council Member Forcier noted he will be abstaining from voting. Motion by Arndt, second by Cook, with Forcier abstaining, to approve Item 7(q). Motion carried unanimously. 8. PUBLIC HEARINGS,— 6:00 P.M. 4 CITY COUNCIL MINUTES — AUGUST 13, 2013 (a) CONSIDERATION OF ORDINANCE NO. 13 -715 - AN ORDINANCE APPROVING REVISIONS TO SECTIONS 5.02 AND 13.03 OF HUTCHINSON CITY CHARTER AS RECOMMENDED BY THE CHARTER COMMISSION (SET SECOND READING AND ADOPTION FOR AUGUST 27, 2013) Marc Sebora, City Attorney, presented before the Council. Mr. Sebora explained that earlier this year the Charter Commission began discussions regarding a couple of amendments to the City's Charter. One of the revisions considered was to amend the petition requirement from 20% of those who voted for mayor in the preceding election to 10% of total votes cast in the last regular election. Mayor Cook added that when City elections were held in odd - numbered years, the petition requirements were not as onerous. However, when the City changed to elections in even - numbered years, voter turnout was higher and the petition requirements appeared to be more challenging. Another amendment recommended by the Charter Commission was to change language in Section 13.03 to coincide with current practice related to official bonds. The amendment states that officers of the City shall be covered by a surety bond from the City rather than the officials providing a corporate bond to the City. State law requires Charter changes to be made pursuant to a public hearing and ordinance change, thus the process being followed this evening. Mayor Cook also clarified that the petition signatures must be registered voters of the City and therefore most often petition circulators must gain additional signatures beyond the requirement to allow for any discrepancies. Mr. Sebora also explained a typographical error on the ordinance proposed. The word "preceding" shall be struck through and in its place "regular" will be inserted when describing the election. Motion by Christensen, second by Arndt, to close public hearing. Motion carried unanimously. Mayor Cook noted that, because he was asked to attend the Charter Commission meetings, he had surveyed other cities to research their petition requirements, with 10% being an average number. Mayor Cook also mentioned that when the Charter Commission was discussing the appropriate petition requirements, the discussion mainly surrounded around initiatives and referendums, but not recalls. Mayor Cook suggested perhaps a petition requirement for a recall be higher than 10 %. The Charter amendments can be approved as presented, with the recall requirements to be considered at a later date by the Charter Commission. Marc Sebora noted that the statute requires Charter amendments to be approved by all Council Members. Since Council Member Czmowski is absent, this item should be considered at the next Council meeting. Mayor Cook also noted that he had found that some cities have regulations on expenditures by petitioners. The Council can adopt some sort of ordinance to address this issue. Mayor Cook asked that a draft ordinance be prepared for the next Council meeting to consider this. Motion by Arndt, second by Christensen, to table this item to August 27, 2013. Motion carried unanimously. W CITY COUNCIL MINUTES — A UG UST 13, 2013 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. UNFINISHED BUSINESS 11. NEW BUSINESS (a) CONSIDERATION FOR APPROVAL OF AWARDING BOND SALE FOR GENERAL OBLIGATION IMPROVEMENT BONDS, SERIES 2013A Andy Reid, Controller, presented before the Council. Mr. Reid clarified that the Resolution before the Council is Resolution No. 14180 and not 14181 as included in the Council packet. Mr. Reid reviewed the projects included with this bond sale. These projects include Jefferson Street Reconstruction Phase 1, 2013 Pavement Management Program, TH 15 & CSAH 115 Roundabout, City School and Hospital Parking Lot Improvements and a contingency fund with total project costs of $2,860,567 and value of $2,230,000 of bonds. The debt payments for the bonds will be made over 15 years from the debt service fund using assessments and tax levy as the sources of funds. Mr. Reid introduced Nick Anhut of Ehlers & Associates. Mr. Anhut distributed the bond sale report, with the report providing the City a rating of "AA - ". Mr. Anhut explained that six bidders entertained a bid with the low bidder being Baird out of Milwaukee, Wisconsin. The true interest cost is 2.6443 %. Due to a reoffering premium, discount allowance and lower cost of issuance, the City will see $70,309 in net proceeds. The closing date is set for September 5, 2013. Motion by Arndt, second by Forcier, to approve awarding bond sale for GO Improvement Bonds, Series 2013A, approving Resolution No. 14180. Motion carried unanimously. Kent Exner noted that all projects have gone very well and are either completed or are on schedule. General discussion was held regarding the South Grade Road bridge project. 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) HUTCHINSON PUBLIC LIBRARY BOARD MINUTES FROM JUNE 24, 2013 (b) FIRE DEPARTMENT MONTHLY REPORT FOR JULY 2013 (c) CITY OF HUTCHINSON WEED NOTICES REPORT FOR JULY 2013 Council Member Arndt noted that the weeds between the ponds at Harmony River are overrun and need to be addressed. Gary Forcier — Council Member Forcier asked about the spray application that was put down on 2 "d Avenue east of Arch Street. Kent Exner, City Engineer, explained that the City is applying a soy - based product that acts as an oil sealer that penetrates the blacktop about an inch and hardens the surface of the payment allowing the oil to remain in the bituminous. This process has been used on streets throughout the city and provides a great cost - benefit. 2 CITY COUNCIL MINUTES — AUGUST 13, 2013 Council Member Forcier also noted that he has been asked if the pool can stay open until school starts. Mayor Cook asked that Marc Sebora look into this with staff. Kent Exner — Mr. Exner noted trunk highway construction projects in the area: Hwy 15 South south of the new roundabout is under construction. This project will be completed early September. Trunk Hwy 5 near Norwood Young America is under construction until late September. Hwy 7 is now detoured at County Road I 1 at Victoria. Mr. Exner also noted that at the last Resource Allocation Committee meeting staff brought forth three proposals to address studies to conduct an origin and destination study as identified in the City's transportation plan. Amount of traffic, types of traffic and other dynamics would be part of this study. Turning movements will also be reviewed, along with surveys of businesses. The proposed cost of the study is $37,000 with funding available from planning dollars. Another proposal was a feasibility study of improvements from 2nd Avenue North to 5'h Avenue South along Hwy 15/Main Street. The study amount is not to exceed $39,000 to be funded with planning dollars. The third proposal was for a study of the 2nd Avenue SE bridge, mainly the structural steel of the bridge. The bridge was built in the 1960s. The study is not to exceed $3800 again from planning dollars. Mr. Exner noted that the cost of each of these studies falls under the expenditure authorization of the city administrator and therefore do not need approval of the Council, however they were brought forth to the Council for the Council's awareness. Council Member Forcier asked the newspaper to publish an educational piece on the proper use of roundabouts now that the City has another new roundabout. Mayor Cook noted that the Veterans group has informed him that they will be acquiring a helicopter which will then be placed in Veterans Memorial Park near the end of September or early October. Mayor Cook also asked that staff get in touch with the hospital in reference to the shrubs on the north side of the Event Center which is now a major site line. In addition, the annual recognition event will be scheduled at the next meeting 13. MISCELLANEOUS 14. ADJOURN Motion by Arndt, second by Cook, to adjourn at 7:15 p.m. Motion carried unanimously. 7 HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: Resolution Approving Donation of Real Property Department: Administration LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Jeremy Carter Agenda Item Type: Presenter: Jeremy Carter Reviewed by Staff ❑ Consent Agenda Time Requested (Minutes): 0 License Contingency N/A Attachments: Yes BACKGROUND /EXPLANATION OFAGENDA ITEM: For several years the Chamber of Commerce and Hutchinson Ambassadors have been using a shed located behind the Armory on Adams Street which is on city property near the Parks garage. The Chamber Board and Ambassadors have determined that they no longer are in need of the storage shed. City Parks and Recreation staff have expressed an interest in acquiring the shed for storage purposes for their department. The Chamber of Commerce is willing to donate the shed to the City of Hutchinson at no cost if the City is willing to accept it. State law requires that all donations are accepted by formal Resolution. BOARD ACTION REQUESTED: Approve Resolution No. 14181 - approving donation of real property. 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: Resolution No. 14181 RESOLUTION APPROVING DONATION OF REAL PROPERTY WHEREAS, The City of Hutchinson is generally authorized to accept contributions of real and personal property pursuant to Minnesota Statutes Section 465.03 for the benefit of its citizens and is specifically authorized to accept gifts and bequests for the benefit of recreational service pursuant to Minnesota Statutes Section 471.17; and, WHEREAS, the Hutchinson Chamber of Commerce has offered to give real property to the City of Hutchinson, specifically a shed located near the City's Parks garage; WHEREAS, The City Council hereby finds that it is appropriate to accept the property offered, NOW THEREFORE BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA: THAT, the property described above is hereby accepted by the City of Hutchinson. Adopted by the City Council this 27th day of August, 2013. Steven W. Cook, Mayor Jeremy J. Carter, City Administrator HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: 2nd Reading of Rezoning of 1025 Dale St SW from R1 to R4 Department: Planning and Zoning LICENSE SECTION Meeting Date: 8/27/2013 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: No BACKGROUND /EXPLANATION OFAGENDA ITEM: CONSIDERATION OF REZONING PROPERTY AT 1025 DALE STREET SW FROM R1 TO R4 TO ALLOW FOR DEVELOPMENT OF A 30 -UNIT MEMORY CARE FACILITY WITH FAVORABLE PLANNING COMMISSION RECOMMENDATION (SECOND READING AND ADOPTION) Matthew Tauer, Bear Paw Properties, LLC, is requesting to rezone property at 1025 Dale St. S.W. from R -1 (single - family residential) to R -4 (high density residential) to allow for the development of a 30 unit memory care facility. The Planning Commission acted on the rezoning, site plan review, and Conditional Use Permit Application at its August 6, 2013 meeting. The only item being forwarded on for City Council action at this point is the rezoning. A rezoning will take two readings at the City Council meeting since rezoning's are ordinances. The rezoning needs to be acted upon prior to the CUP and site plan since the property needs to zoned R -4 prior to the conditional use permit being approved. At the August 27, 2013 City Council meeting the second reading of the ordinance to rezone will be acted upon and there will be a separate agenda item at that same meeting for the site plan approval and conditional use permit. If there are questions about this please contact me and I will be willing to clarify any of this information. BOARD ACTION REQUESTED: Approval of Rezoning 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: PUBLICATION NO. ORDINANCE NO. 13 -714 AN ORDINANCE OF THE CITY OF HUTCHINSON, MINNESOTA, TO REZONE PROPERTY AT 1025 DALE STREET S.W. FROM R -1 (SINGLE FAMILY RESIDENTIAL) TO R -4 (HIGH DENSITY RESIDENTIAL) FOR DEVELOPMENT OF A MEMORY CARE FACILITY REQUESTED BY BEAR PAW ENTERPRISES, LLC, PROPERTY OWNER THE CITY COUNCIL OF THE CITY OF HUTCHINSON, MINNESOTA ORDAINS: Section 1. Notice of hearing was duly given and publication of said hearing was duly made and was made to appear to the satisfaction of the City Council that it would be in the best interest of the City to rezone the property from R- 1 (Single Family Residential) to R -4 ( High Density Residential): Section 2. That the property to be rezoned to R -4 ( High Density Residential) is described as follows: Outlot B, Welcome To Our Home Addition Section 3. This ordinance shall take effect from and after passage and publication. Adopted by the City Council this 27th day of August, 2013. ATTEST: Jeremy Carter, City Administrator Steven W. Cook, Mayor HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: Conditional Use Permit and Site Plan approval - 1025 Dale Street SW Department: Planning and Zoning LICENSE SECTION Meeting Date: 8/27/2013 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: No BACKGROUND /EXPLANATION OFAGENDA ITEM: CONSIDERATION OF CONDITIONAL USE PERMIT AND SITE PLAN FOR DEVELOPMENT OF A 30 -UNIT CARE FACILITY LOCATED AT 1025 DALE STREET SW WITH FAVORABLE PLANNING COMMISSION RECOMMENDATION (ADOPT RESOLUTION NO. 14176). Matthew Tauer, Bear Paw Properties, LLC, is requesting to rezone property at 1025 Dale St. S.W. from R -1 (single - family residential) to R -4 (high density residential) to allow for the development of a 30 unit memory care facility. There are no permitted uses in the R -4 district, therefore a Conditional Use Permit is needed. Apartment buildings designed and marketed for exclusive use by the elderly are allowed by Conditional Use Permit in R -4. All proposed multiple family building developments require a site plan review. In addition, the developer is applying for a site plan review. Staff recommends adding one more condition to the CUP that clarifies that 20 units are for the purpose of memory care and 10 units are high intensity care suites. The facility will be licensed as a Class F facility through the State of Minnesota when it opens and will transition to a "Comprehensive License" as the State changes it licensing terminology in the future. BOARD ACTION REQUESTED: Approval of Conditional Use Permit and Site Plan. 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: MEMORANDUM DATE: August 7, 2013, for the August 13, 2013, City Council meeting TO: Hutchinson City Council FROM: Dan Jochum, Planning Director SUBJECT: Rezoning, Conditional Use Permit and Site Plan Review *Note: The Planning Commission acted upon the rezoning, conditional use permit and site plan review at its August 6, 2013 meeting. The City Council will only be acting on the rezoning at the August 13, 2013 meeting. The second reading of the rezoning, the conditional use permit and site plan review will be acted upon at the August 27, 2013 City Council meeting. Please see the board action form preceding this page for more information regarding this. Background: Matthew Tauer, Bear Paw Properties, LLC, is requesting to rezone property at 1025 Dale St. S.W. from R -1 (single - family residential) to R -4 (high density residential) to allow for the development of a 30 unit memory care facility. There are no permitted uses in the R -4 district, therefore a Conditional Use Permit is needed. Apartment buildings designed and marketed for exclusive use by the elderly are allowed by Conditional Use Permit in R -4. All proposed multiple family building developments require a site plan review. In addition, the developer is applying for a site plan review. Planning Commission Meeting: The Planning Commission considered the request at their August 6t" meeting. Staff reported the rezoning is consistent with the comprehensive plan. Staff presented the site plan information and indicated the site plan meets the requirements of the zoning ordinance. Staff noted that there have been drainage issues near the northeast corner of the lot and that neighbors have said this was a concern. Staff also noted a condition was added indicated that the proposed drainage of the area being built on could not impact surrounding property drainage. Joyce Krcil, who lives at 1120 Keith St SW, Hutchinson, commented to the Planning Commission she and her husband and several neighbors have concerns regarding drainage and don't want to the proposed facility to further negatively impact drainage. City Engineer Exner addressed Ms. Krcil's concerns by noting that the proposed development has all of its drainage going to the south through a drainage swale to a catch basin and that the proposed development should not impact the already existing drainage problem on the lot. The Planning Commission discussed the drainage issues at length and indicated that the proposed development can't make the drainage issues worse in this area. Staff reiterated to the Commission members that the drainage issues in this area are an existing condition and will exist whether or not the Memory Care Facility is built or not. Staff also noted that the proposed building and parking lot for the Memory Care Facility is going to drain to the south and the plans submitted by a Professional Engineer indicate this as well. After concluding discussion, the Commission unanimously recommended approval. Recommendation: The Planning Commission unanimously recommended approval of the rezoning, site plan review and conditional use permits with the findings and conditions in the attached resolution for the site plan approval and conditional use permit and an the attached ordinance for the rezoning. DIRECTORS REPORT - PLANNING DEPARTMENT To: Hutchinson Planning Commission From: Brad Emans, Dolf Moon, Dave Hunstad, Lee Miller, Nate Keller, Jean Ward, Judy Flemming, John Webster, John Olson, Lenny Rutledge, Kent Exner, John Paulson, Mike Babe, Marc Sebora, Jeremy Carter, Dan Hatten, Dick Nagy, Dan Jochum and Bonnie Baumetz (Persons in attendance at Planning Staff Meeting (in bold) Date: July 29, 2013, for August 6, 2013, Planning Commission Meeting Application: Rezone from R -1 (Single Family Residential) to R -4 (High Density Residential), Conditional Use Permit and Site Plan Review Applicant: Bear Paw Properties, LLC REZONE, CONDITIONAL USE PERMIT AND SITE PLAN REVIEW Matthew Tauer, Bear Paw Properties, LLC, is requesting to rezone property at 1025 Dale St. S.W. from R -1 (single - family residential) to R -4 (high density residential) to allow for the development of a 30 unit memory care facility. There are no permitted uses in the R -4 district, therefore a Conditional Use Permit is needed. Apartment buildings designed and marketed for exclusive use by the elderly are allowed by Conditional Use Permit in R -4. All proposed multiple family building developments require a site plan review. In addition, the developer is applying for a site plan review. w 40 * Indicates property described in this Notice ♦y; �' 9t5' 905 8 105,'- ., a * 1025 �C.2 �* . —try n - s't <10� u • i. Q 7 OB pg � U� .5 _ 8 1 85 0 08 1 5 16410 - / 1 5 5 _ 875 8 1 8 85 0 85 1015 8 8 85 945, 1085 , 1 5 8 85 08 1 5 .�y. 8 1 85 08 110 551` E CENTURY AVE SW ' - w 1116 1110 Rezone, Conditional Use Permit and Site Plan Review Memory Care Facility —1025 Dale St SW Planning Commission — 8/6/13 Page 2 GENERAL INFORMATION Existing Zoning: R -1 (Single Family Residential) Property Location: 1025 Dale St SW Lot Size: 5.5 Acres Existing Land Use: Vacant Lot Adjacent Land Use And Zoning: R -4 (High Density Residential), R -3 (Medium -High Residential) and R -2 (Medium Density Residential) Comprehensive Land Use Plan: Mixed Use District Zoning History: Zoned R -1 when annexed into City limits. Applicable Regulations: Sections 154.168 (Land Rezoning), 154.169 (Site Plan Review) and 154.170 (Conditional Use Permit) Rezoning: The Comprehensive Plan guides this area as Mixed Use Residential. According to the Comprehensive Plan "the purpose of this category is to identify portions of Hutchinson that contain higher density housing units. Mixed Use Residential is intended to accommodate primarily manufactured home parks, town homes, apartments, duplexes, rooming houses and other multi - family development. The overall density of these areas should generally be maintained at between 5 -18+ units per acre. The proposed re- zoning is consistent with the Comprehensive Plan. The site was originally zoned R -1 (single - family residential) when the property was annexed into the City. All land that is annexed into the City is zoned R -1 at the time of annexation. The property abuts R -4 zoning to the South which has been developed as senior housing (Oaks and Pines). R -4 zoning will allow for the development of a 30 unit facility for memory care as proposed by the developer. Site Plan Review: Building: The building is proposed to be an approximately 20,457 square foot one -story structure featuring 30 units of memory care. The building will be residential looking in character. Rezone, Conditional Use Permit and Site Plan Review Memory Care Facility —1025 Dale St SW Planning Commission — 8/6/13 Page 3 Sethacks- The proposed building setbacks and requirements for the R -4 (high density residential) district are identified below. The plans would meet the building setbacks as follows: *The interior lot line on the west side isn't meeting the setback as required. Meeting the 35 foot setback is a proposed condition of approval for the site plan. Landscaping_ A landscape plan must be submitted for review. The ordinance states landscaping shall include one tree per 800 square feet of landscaping area. Parking: The zoning ordinance requires .5 spaces per dwelling unit, which means 15 spaces are required plus whatever parking needs staff of the facility have. There are 35 spaces on the site plan which exceeds the requirement. It would be beneficial from a water quality /runoff and water quality standpoint to eliminate parking stalls on -site. Stormwater Management: Following the final construction plan submittal and City review the City Environmental Specialist will provide comments that need to be addressed prior to building permits being issued. Conditional Use Permit: The Conditional Use Permit (CUP) is required for all uses in the R -4 District. The applicant is applying for an "apartment building(s) designed and marketed exclusively for the elderly" as found under section 154.059 (C) (3). 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; Principal Proposed Structure Structure Setback Setback Front Yard 35 feet 90 feet Interior Lot Line — 35 feet 32 feet* west side Interior Lot Line — 35 feet 360 feet east side Rear Yard 35 feet 64 feet *The interior lot line on the west side isn't meeting the setback as required. Meeting the 35 foot setback is a proposed condition of approval for the site plan. Landscaping_ A landscape plan must be submitted for review. The ordinance states landscaping shall include one tree per 800 square feet of landscaping area. Parking: The zoning ordinance requires .5 spaces per dwelling unit, which means 15 spaces are required plus whatever parking needs staff of the facility have. There are 35 spaces on the site plan which exceeds the requirement. It would be beneficial from a water quality /runoff and water quality standpoint to eliminate parking stalls on -site. Stormwater Management: Following the final construction plan submittal and City review the City Environmental Specialist will provide comments that need to be addressed prior to building permits being issued. Conditional Use Permit: The Conditional Use Permit (CUP) is required for all uses in the R -4 District. The applicant is applying for an "apartment building(s) designed and marketed exclusively for the elderly" as found under section 154.059 (C) (3). 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; Rezone, Conditional Use Permit and Site Plan Review Memory Care Facility —1025 Dale St SW Planning Commission — 8/6/13 Page 4 (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. Analysis and Recommendation: Staff has reviewed the request and recommends approval of the Rezoning, Conditional Use Permit, and Site Plan with the following recommendations: 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 -4 district and the Zoning Ordinance, as well as all other City regulations. 3. The use must meet all applicable building and fire code regulations. Any remodeling and/or additions must also meet applicable building and fire code regulations. 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 requires approval of a new conditional use permit. 5. 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. 6. Proposed drainage must not impact surrounding properties. 7. Provide sufficient turnaround for fire apparatus on site, including allowing an easement of Cleveland Ave. SW for a cul -de -sac for the purposes of fire apparatus turn- around. 8. Water main must be looped through the property. 9. Parkland fees are $135.00 per unit and paid with building permit. 10. SAC and WAC fees will be calculated upon building plan submittal and due at the time of building permit issuance. 11. All signage shall meet the requirements of the R -4 district. Sign permits are required prior to installation of the signage. 12. Exterior lighting must be shielded and shall not cause glare to adjacent properties. 13. Developer must draft easement agreements for the gas lines going through the subject property that go to the Oaks and Pines properties. 14. Developer must verify stormwater pond located on Oaks and Pines properties was designed to handle stormwater runoff for the subject site. Developer must provide drainage calculations to the City Engineer for review. 15. Developer must enter into a development agreement with the City of Hutchinson for the infrastructure improvements to site, as well as any needed easements for fire apparatus turn- around. . 16. The building must meet the 35 foot setbacks at time of building permit application. The building corner on the southwest side is not meeting the setback as the site plan was presented. I '1073 0073.88 B 00 1 F 106 . -P -BUR . ., -\ � ._1072 1 ti6 .9� I I F &I 843 LF 81" PVC SDR 18 4 RMI02 F 380 LF 8" PVC S5�26 @ 1.5% 7 FL1065.48 0 >4 0 N i IP RIM 0.0 RIM10 7.0 A� 70 13114 072.13 107 LANDSCAPE PLAN 1 11 = 100' -0" CITY OF HUTCHINSON MCLEOD COUNTY, MINNESOTA RESOLUTION NO. 14176 RESOLUTION ADOPTING FINDINGS OF FACT AND REASONS FOR APPROVAL OF CONDITIONAL USE PERMIT AND SITE PLAN REVIEW APPLICATIONS REQUESTED BY BEAR PAW ENTERPRISES, LLC, TO ALLOW CONSTRUCTION OF A 30 UNIT CARE FACILITY ON PROPERTY LOCATED AT 1025 DALE STREET S.W. FACTS 1. Bear Paw Enterprises, LLC, is the owner of a parcel of land located at 1025 Dale Street S.W., Hutchinson Minnesota; and, 2. The subject property is legally described as: Outlot B, Welcome To Our Home Addition 3. Bear Paw Enterprises, LLC, has applied to the City for a site plan review and conditional use permit to allow development of a Memory Care facility at 1025 Dale Street S.W., Hutchinson MN. 4. The Planning Commission met on August 6, 2013, 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 -4 district and the Zoning Ordinance, as well as all other City regulations. C. The use must meet all applicable building and fire code regulations. Any remodeling and/or additions must also meet applicable building and fire code regulations. 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 requires approval of a new conditional use permit. C. 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. f Proposed drainage must not impact surrounding properties. g. Provide sufficient turnaround for fire apparatus on site, including allowing an easement of Cleveland Ave. SW for a cul -de -sac for the purposes of fire apparatus turn- around. h. Water main must be looped through the property. i. Parkland fees are $135.00 per unit and paid with building permit. j. SAC and WAC fees will be calculated upon building plan submittal and due at the time of building permit issuance. k. All signage shall meet the requirements of the R -4 district. Sign permits are required prior to installation of the signage. 1. Exterior lighting must be shielded and shall not cause glare to adjacent properties. m. Developer must draft easement agreements for the gas lines going through the subject property that go to the Oaks and Pines properties. Findings of Fact — Resolution # 14176 Memory Care facility conditional use permit and site plan 1025 Dale Street S.W. Page 2 n. Developer must verify stormwater pond located on Oaks and Pines properties was designed to handle stormwater runoff for the subject site. Developer must provide drainage calculations to the City Engineer for review. If ponding cannot be accommodated in stormwater pond on the Oaks and Pines properties it must be accommodated onsite. o. Developer must enter into a development agreement with the City of Hutchinson for the infrastructure improvements to site, as well as any needed easements for fire apparatus turn- around. . p. The building must meet the 35 foot setbacks at time of building permit application. The building corner on the southwest side is not meeting the setback as the site plan was presented. q. The eastern portion of the property must be un- disturbed other than for utility construction. If soil over - burden from the building site is placed on eastern portion of the property a drainage system must be designed to ensure soil over - burden does worsen drainage issues for neighboring properties. 5. The City Council of the City of Hutchinson reviewed the requested conditional use permit at its meeting on August 13, 2013, 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. b. The proposed building and site improvements shall comply with the standards of the R -4 district and the Zoning Ordinance, as well as all other City regulations. C. The use must meet all applicable building and fire code regulations. Any remodeling and /or additions must also meet applicable building and fire code regulations. 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 requires approval of a new conditional use permit. C. 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. £ Proposed drainage must not impact surrounding properties. g. Provide sufficient turnaround for fire apparatus on site, including allowing an easement of Cleveland Ave. SW for a cul -de -sac for the purposes of fire apparatus turn- around. h. Water main must be looped through the property. i. Parkland fees are $135.00 per unit and paid with building permit. j. SAC and WAC fees will be calculated upon building plan submittal and due at the time of building permit issuance. k. All signage shall meet the requirements of the R -4 district. Sign permits are required prior to installation of the signage. 1. Exterior lighting must be shielded and shall not cause glare to adjacent properties. m. Developer must draft easement agreements for the gas lines going through the subject property that go to the Oaks and Pines properties. n. Developer must verify stormwater pond located on Oaks and Pines properties was designed to handle stormwater runoff for the subject site. Developer must provide drainage calculations to the City Engineer for review. If ponding cannot be accommodated in stormwater pond on the Oaks and Pines properties it must be accommodated onsite. Findings of Fact — Resolution # 14176 Memory Care facility conditional use permit and site plan 1025 Dale Street S.W. Page 3 o. Developer must enter into a development agreement with the City of Hutchinson for the infrastructure improvements to site, as well as any needed easements for fire apparatus turn- around. p. The building must meet the 35 foot setbacks at time of building permit application. The building corner on the southwest side is not meeting the setback as the site plan was presented. q. The eastern portion of the property must be un- disturbed other than for utility construction. If soil over - burden from the building site is placed on eastern portion of the property a drainage system must be designed to ensure soil over - burden does worsen drainage issues for 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 and site plan 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 and site plan to allow Bear Paw Enterprises, LLC, to develop the existing site for a Memory Care facility at 1025 Dale Street S.W., Hutchinson MN, is approved. Adopted by the City Council this 27th day of August, 2013. ATTEST: Findings of Fact — Resolution # 14176 Memory Care facility conditional use permit and site plan 1025 Dale Street S.W. Page 4 Jeremy J. Carter City Administrator Steven W. Cook Mayor Aug 20, 2013 Dear City Council Members, Due to personal reasons, Leon Johnson has resigned from the Hutchinson Utilities Commission effective September 15t. I would like to appoint Mark Girard to serve out the remainder of Leon's term. Mark is a twelve year resident of Hutchinson. He is a mechanical engineer by trade and is Vice - President and CTO of AKI, located on Hwy 7 West in Hutchinson. Previously Mark has served on the board of the Crow River Golf Club, as well as the Finance Committee and the Building Committee. In addition Mark served on the Parish Personnel Committee at Christ the King Lutheran Church. Currently Mark serves on the Boards of AKI, Mobius Innovations and Citizen's Bank. Mark understands and appreciates the importance of Hutchinson Utilities to the community as a utility provider, as well as a city enterprise. I believe Mark's technical background, logical approach and small business ownership background will be an asset to the Utilities Commission. I have spoken to Utilities Commission Chair Dwight Bordson and he also feels Mark would be a good addition to the Commission. I ask for your approval, Mayor Steve Cook HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: Consideration for Approval of Project Change Orders Department: PW /Eng LICENSE SECTION Meeting Date: 8/27/2013 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 OFAGENDA ITEM: As construction has proceeded on the below listed projects there has been additional work, project scope revisions, and /or construction completion date changes. The items specified below have been identified and deemed necessary to satisfactorily complete the projects per the intent of the original construction contract. The following Change Orders are proposed as noted: o Change Order No. 1 — Letting No. 10 /Project No. 13 -10 — 2013 City Parking Lot Improvements This Change Order addresses the extension of the respective interim completion dates to 08/14/2013 and 08/28/2013 due to site and materials issues. This Change Order results in no increase to the contract amount. BOARD ACTION REQUESTED: Approval of Change Orders Fiscal Impact: Funding Source: FTE Impact: Budget Change: No Included in current budget: Yes PROJECT SECTION: Total Project Cost: $ 0.00 Total City Cost: $ 0.00 Funding Source: Remaining Cost: $ 0.00 Funding Source: - HUTCHINSON CITY CENTER ENGINEERING DEPARTMENT 111 HASSAN STREET SE, HUTCINSON MN 55350 PHONE: 320-234-4209 FAX: 320-234-4240 LETTING NO. 10 - PROJECT NO. 13 -10 Dated: 08121/2013 CHANGE ORDER NO. 1 Page 1 of 1 Project Location: 2013 City Parking Lot Improvements: City Parking Lot B - Franklin St SW /1st Ave SW /Glen St SW across from Park Elem., City Parking Lot J - 125 Jefferson St SE - Evergreen Apartment, & Fire Dept. - 246 Adams St SE /205 3rd Ave SE , School District locations: Administration Bldg - 30 Glen St NW, High School - 1200 Roberts Rd SW, West Elementary - 825 School Rd SW & Hutchinson Health: West Parking Lot - 3 Century Ave SW CONTRACTOR: Knife River Corporation, 4787 Shadow Wood Dr NE, Sauk Rapids MN 56379 Contract Amount: $877,796.73 Interim Completion Dates: School District Lots 08/09/2013 & City & Hospital Lots 08/23/2013 Final Completion Date: 08/30/2013 Description of Change: This Change Order addresses the extension of the interim completion dates from 08/09/2013 and 08/23/2013 to 08/14/2013 and 08/28/2013. This revision does not extend the final completion date. The additional work does not result in an increase to the contract. Item No. Spec. Ref. Item Name 1F1Umt1 F Amount INCREASE ITEMS Extension of interim completion dates from 08/09/2013 and 08/23/2013 to 08/14/2013 and 08/28/2013. $0.00 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 TOTAL INCREASE ITEMS 0.0 DECREASE ITEMS: $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 $0.0 TOTAL DECREASE ITEMS $0.0 NETCHANGE --------------------------------------------------------------------------------------------------------------------- ------------------------------- $0.00 r accordance with the Contract and Specifications, the contract amount shall be adjusted in the amount of $0.00 (add) /fdeduc4). An extension of - -0 -- days shall be allowed for final completion. ORIGINAL CONTRACT AMOUNT PREVIOUS ADDITIONS/DEDUCTIONS THIS ADDITION /$E91 ICTIO 4 TOTAL $877,796.73 $0.00 1 $0.00 $877,796.73 Approved: _ Contractor - Knife River Corporation Dated: Approved: City of Hutchinson - Mayor: Steven W Cook Dated: 08/27/2013 Approved: _ City of Hutchinson - City Engineer: Kent Exner Dated: Approved: City of Hutchinson - City Administrator: Jeremy J Carter Dated: 08/27/2013 HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action WZ 7AL =- Agenda Item: Consideration for Approval of Airport Work Order 2 - Obstruction Removal Department: PW /Eng LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: John Olson Agenda Item Type: Presenter: Kent Exner Reviewed by Staff ❑ Consent Agenda Time Requested (Minutes): 0 License Contingency N/A Attachments: Yes BACKGROUND /EXPLANATION OFAGENDA ITEM: Work order #2 for the Obstruction Removal was drafted upon request to separate the obstruction removal efforts from those related to the Airport Master Plan update and the Airport Layout Plan update. FAA Form 5010, used to report findings of FAA inspections, noted potential obstructions at one location on the south end of the runway and at one location on the west side of the runway. To appropriately address these obstructions, they will need to be surveyed, identified and an action plan to address any obstructions will need to be done. Once those items are complete, the work can be done to remove any obstructions. When the work is completed, the Airport must certify the air space is clear of obstructions. This work order covers: Task 1 - Obstruction survey Task 2 - Engineering assistance (action plan & certification of clear air space) Task 3 - Funding administration (project documentation, grant documents, grant closeout, and related). The lump sum cost of the work order is $9,150, of which $915 is the City's cost from the Airport Construction Capital Project Fund. Work estimates were prepared, but estimates for the work are conservative estimates, since the exact nature of the obstructions, if any, cannot be determined without surveying. Estimates included in the grant request were anticipated at $13,500, of which $1,350 would be the City's cost from the General Fund (Contract Repair & Maintenance). BOARD ACTION REQUESTED: Approval of Airport Work Order 2 - Obstruction Removal Fiscal Impact: Funding Source: FTE Impact: Budget Change: No Included in current budget: Yes PROJECT SECTION: Total Project Cost: -$ 45,874.00 Total City Cost: -$ 45,874.00 Funding Source: REVENUE - Airport (General Fund) '14 &'15 Remaining Cost: $ 0.00 Funding Source: BMI Job No. T51.107001 WORK ORDER NO.2 TO PROFESSIONAL SERVICES CONTRACT DESIGN REVIEW ASSISTANCE, SURVEY SERVICES AND GRANT CLOSEOUT FOR AIRPORT OBSTRUCTION REMOVAL BETWEEN: The City of Hutchinson, A Minnesota municipal corporation (CLIENT) AND: Bolton & Menk, Inc. (CONSULTANT) EFFECTIVE July 31, 2013 DATE: RECITALS City owns and operates the Hutchinson Airport (Butler Field) located in Hutchinson, Minnesota. 2. This is Work Order No. 2 to the Professional Services Contract, between City and Bolton & Menk, Inc. The Professional Services Contract effective May 8, 2012, is referred to herein as the "Master Agreement ". AGREEMENT DESCRIPTION The CONSULTANT agrees to provide Obstruction Review identification/verification, Engineering design assistance, Survey Services and Grant Closeout Assistance all required for the Obstruction Removals at the Hutchinson Municipal Airport (herein referred to as the Project). I.A. BASIC SERVICES For purposes of this Work Order, the Basic Services to be provided by the CONSULTANT are as follows: Project Scope It is understood that the City of Hutchinson has identified critical airspace obstructions to the airspace at their Municipal Airport. FAA /ADO and Mn/DOT Aeronautics requires steps to be taken to remove obstructions to maintain a safe airport. The following agreement for professional services assists the City of Hutchinson in confirming/identifying airport airspace obstructions for removal. The project will include assisting the cities current consultant under contract to complete the removal of obstructions deemed a "Hazard to Navigation ". TASK 1. AIRPORT OBSTRUCTION SURVEY The overall scope is to verify /survey the identified airspace obstructions to current and near -term airspace standards: 1. Project Formulation: CONSULTANT will assist the Hutchinson to develop next steps as a result of the obstruction identification and removal. Tasks include review the identified obstructions, one (1) on -site meeting with the CLIENT, and one (1) meeting each with FAA and Mn /DOT Aeronautics. Two (2) site visits will be required to complete this task. H:\HUTC\T51105897\7-Bidding-ContractLDocuments\E-Grant\Grant Request \HCD Work Order 2_OBS REM.doc Page 1 BMI Job No. T51.107001 TASK 2. ENGINEERING ASSISTANCE This Task provides guidance and background standards for sponsor preforming work (force account) utilizing Federal Entitlement Funding: 1. Project Documentation: CONSULTANT will assist the Hutchinson to develop next steps as a result of the obstruction identification and removal. Tasks include review Sponsors qualifications to perform force account work, provide current wages rates and review of required federal requirements. 2. Surveyor's certification of clear airspace TASK 3. FUNDING ADMINISTRATION This Task provides completion of FAA required documentation of Grant Assurance requirements: 1. Project Documentation: Grant administration including FAA grant request, closeout, or other related project programming paperwork. Further work to accomplish any required environmental review, or additional work items not described above that are determined after survey identification are not included in this agreement of the overall project. I.B. ADDITIONAL SERVICES Consulting services performed other than those authorized under Section I.B. shall not be considered part of the Basic Services and may be authorized by the CLIENT as Additional Services. Additional Services consist of those services, which are not generally considered to be Basic Services; or exceed the requirements of the Basic Services; or are not definable prior to the commencement of the Project; or vary depending on the technique, procedures or schedule of the Project. Additional services may consist of the following: 1. Airport property boundary survey. 2. Additional ground surveying for possible obstruction replacements if required by property owner(s). 3. All other services not specifically identified in Section I.A. I.C. CONSIDERATION The services described above in Section I.A. BASIC SERVICES shall be provided as follows: Task 1: Obstruction Survey verification $ 3,900.00 Hourly Cost, plus Task 2: Engineering Assistance $ 2,000.00 Lump Sum Task 3: Funding Administration $ 3,250.00 Lump Sum TOTAL AUTHORIZED FEE $ 9,150.00 Funding splits= FAA (90%) $8,235.00, Local (10 %) 915.00 H:\HUTC\T51105897\7-Bidding-ContractDocuments\E_Grant\Grant Request \HCD Work Order 2_OBS REM.doc Page 2 BMI Job No. T51.107001 Progress payments shall be inade in accordance with the Attached Fee Schedule and Section III of the Master Agreement. I.D. SCHEDULE The Tasks authorized under Work Order No. 2 will be performed under the following schedule or as authorized by the CLIENT as the I.A. BASIC SERVICES. BASIC SERVICES SCHEDULE TASK SERVICE DESCRIPTION DATE 1 Obstruction Survey August- September 2013 2 Engineering Assistance September 2013 3 Funding Administration August - January 2014* *Completion date is a goal - subject FAA meeting schedule TOTAL AUTHORIZED FEE I.E. AUTHORIZATION City of Hutchinson, Minnesota Steve Cook Mayor Jeremy Carter City Administrator $ 9,150.00 Bolton & Menk, Inc. Ron Id A. Roetzel, P.E. Principal H:\HUTC\T51105897\7-Bidding-Contract-Documents\E-Grant\Grant Request \HCD Work Order 2_OBS REM.doc Page 3 HUTCHINSON CITY COUNCIL Request for Board Action mmeww' Ram Agenda Item: Annual poly bag film purchase for Creekside Department: Compost LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Andy Kosek Agenda Item Type: Presenter: Andy Kosek Reviewed by Staff [7] Consent Agenda Time Requested (Minutes): 5 License Contingency N/A Attachments: Yes BACKGROUND /EXPLANATION OF AGENDA ITEM: Poly bag film for the Premier Tech automated bagging line that Creekside operates is ordered on a annual basis for soil /mulch packaging needs. A two year supply is ordered at one given. The product lines in which are ordered alternate from year to year, the Creekside product line predominantly makes up the order for 2013. Also note that Creekside brand of products will have a new bag design. In order to receive the best possible pricing, products are grouped together by brand, size and quantities. The RFQ consists of the Creekside products totaling 355,000 bags. A total of six quotes were submitted. Niaflex Corporation submitted very favorable pricing for the RFQ at a price of $74,414.75. The next best pricing for this RFQ was EcoPlast at $89,516.00. BOARD ACTION REQUESTED: Approve the purchase of the poly bag film quote received from Niaflex Corporation as recommended by Creekside staff and the City Administrator. Total cost is $74,414.75. Fiscal Impact: $ 74,414.75 Funding Source: Compost Fund FTE Impact: 0.00 Budget Change: No Included in current budget: Yes PROJECT SECTION: Total Project Cost: $ 74,414.75 Total City Cost: $ 74,414.75 Funding Source: Compost Fund Remaining Cost: $ 0.00 Funding Source: Top 2 Quotes Received CreekSide 40 #Topsoil 145,000 40# Manure 30,000 40# Compost 30,000 1 cuft Peat 10,000 10# Potting Soil 15,000 20# Potting Soil 30,000 40# Potting Soil 80,000 2 cuft. Brown Mulch 15,000 Total 355,000 CreekSide 40# Bags 295,000 6 colorl Over laquer 7 Ual Alternate 2.75 mil Nlaflex Bob Edlund Plate Changes Total with Plates Alternate 2.75 mil EcoPlast Josh Lefkowtiz Plate Total with Changes Plates $250 per $250 per color color $0.17 $0.18 $26,560.95 $0.19 $0.21 $29,764.00 $0.17 $0.23 $6,88130 $0.23 $0.29 $8,698.00 $0.17 $0.23 $6,883.30 $0.23 $0.29 $8,698.00 $0.17 $0.35 $3,461.10 $0.33 $0.51 $5,062.00 $0.15 $0.27 $4,041.85 $0.23 $0.35 $5,188.00 $0.15 $0.20 $6,13100 $0.18 $0.23 $7,042.00 $0.17 $0.19 $15,438.80 $0.22 $0.24 $18,954.00 $0.25 $0.33 $5,012.45 $0.32 $0.41 $6,110.00 Avg. Price per bag on $0.2008 Avg. Price per bag on $0.2413 Plate Plate Charges $13,500.00 Charges $13,500.00 Avg Plate Avg Plate per bag $0.0380 per bag $0.0380 Total $74,414.750 Total $89,516.000 Summary of Quotes Received 8.16.2013 Product Type Quantity Alternate 2.76 rnil »9 Niafiex Bob Edlund Plate Chan es Total with Plates Alternate 2.75 mil #2 EcoPlas€ Josh Lefkowtiz Plate Changes Total with Plates Alternate 2.75 mil #3 TNT Plastics Terry Triller Plate Chan es Total with Plates CgreekSide $250 per color Plate charge $250 per color $500 per color Plate charge listed separate Topsoil 40# 145,000 $0.17 $0113 $26,560.95 $0.19 $0.21 $29,764.00 $0.21 $0.22 $32,388.50 40# Manure 30.000 $0.17 $023 $6,863.30 $023 $0.29 $8,698.00 $0.21 $0.27 $8,129.60 40# Compost 30,000 $017 $0.23 $6,683.30 $0.23 $0.29 $8,698.00 $0.21 $0.27 $9,129.60 1 tuft Peat 10,000 $0.17 $0.35 $3,461 10 $0.33 $0.51 $5,062.00 $0.21 $0.40 $3.955.60 10# Potting Soil 15,000 $0.15 $0.27 $4,04185 $0.23 $0.35 55,188.00 $0.22 $0.30 54,562.90 20# Potting Sod 30,000 $0.15 $0.20 $6,133.00 $0.18 $0.23 $7,042,00 $0.21 $0.26 57,892.80 40#PottingSoil 60,000 $0.17 $0 -19 $15,43880 $0.22 $024 $18,954.00 $021 $0.23 S18,56460 2 tuft. Brown Mulch 15,000 $0.25 $0.33 Avg. Price per bag on CS 40# bags $5,012.45 $0.2008 $0.32 $0.41 Avg. Price per bag on CS 40# bags $6,110.00 $0.2413 $0.31 $0.40 Avg. Price per bag on CS 40# bags $6,071 25 $0.2412 Total 355.000 CreekSide 40# Bags 295,000 Plate Charges $13,500.D0 Plate Charges Plate Charges $13,500.00 Plate Charges Plate Charges $13,873.10 e Wbr. o,e isyK• e «+ar ow, ram, 71w Avg Plate per bag $0.0380 Avg Plate per bag Avg Plate per bag $0.0380 Avg Plate per bag Avg Plate per bag $0.0391 Total Total $74,414.750 Total Total $89,516.000 Total Total $89,694.850 Product Type Quantity Alternate 2.75 mil 44 Volm Kurt Hintz Plate Changes Total with Plates Ahemate 2.75 mil #5 Direct Plastic Glenn Weberoal Plate Chan ges Total with Plates Alternate 2.75 mil #6 HubPaC Plate Changes Total with Plates CreekSide $300 per color and slde Plate charge listed separate $500 per color Topsoil 40# 145,000 $0.22 $0.23 $33,710.00 $0.24 $6.27 $38,960.60 024 $026 $37,647.500 40# Manure 30,000 $0.25 $0.32 $9,450.00 $0.24 $0.36 $10,9D0.60 029 $041 $12,212.000 409 Compost 30,000 $0.25 $0.32 $9,450.00 $024 $0.36 $10,900.60 029 $041 $12,212.000 1 cult Peat 10,000 $0.31 $0.52 $5,20040 $0.24 $0.60 $6,020.60 0.41 $0.76 $7,600.000 10# Potting Soil 15,000 $0.18 $032 $4,815.00 $0.21 $0,45 $6,701.20 0.21 $0.45 $6,695.000 20# Potting Soil 30,000 $0.19 $0.26 $7,800.00 $021 $0.31 $9.346.00 0.30 $0.42 $12,500,000 409 Potting Soil 80,000 $0.23 $0.25 $20,260.00 $024 $0.29 $23,100.60 0.24 $0.28 $22,340.000 2 tuft. Brown Mulch 15,000 $0.30 $0.40 Avg. Price per bag on CS 400 bags $5,985.00 $0.2646 $0.33 $0.45 Avg. Price per bag on CS 40# bags $6,716.35 $0.3047 0.31 $0.48 Avg, Price per bag on CS 40# bags $7,191.250 $0.3119 Total 355,000 CreekSide 4D# Bags 295,000 Plate Charges $16,200.00 Plate Charges $26,446.55 Plate Charges $27,000 00 e Wbr. o,e isyK• 7 Imo Avg Plate per bag $0.0456 Avg Plate per bag $0.0745 Avg Plate per bag $0.0761 Total $96,670.00 Total $112,646.55 Total $118,397.750 A. General instructions to bidders The "City" or "purchaser" in this document refers to the City of Hutchinson, 111 Hassan St SE, Hutchinson, MN 55350. Purchase documents consist of the following: a) General instructions to bidders b) Scope and purpose c) Purchasing process d) Detailed specifications These specifications represent the minimum requirements. You may specify items that you feel would meet the requirements identified in the Scope and Purpose section of this document. Naturally, you may specify any item that exceeds these minimum specifications. Any deviations should be clearly noted. Your bid and supporting documents must include a description of the bag film, detailed specifications, and the total price. Any exceptions for missing components shall be duly noted in the written bid. The bid you provide must be adequate so the City of Hutchinson may analyze the bag film for use. The city understands that the bid does not require payment of sales tax, under Section 297A.25, Subdivision 28 of the Minnesota Sales Tax and Use Law (Resource Recovery Facility Exemption Certificate). In the event it is determined sales tax is to be paid, the payment will be the responsibility if the city. The Hutchinson City Council reserves the right to reject all or parts of bids and to waive any informalities and irregularities. No contract exists until authorized by action of the City Council. Copies of the specifications will be furnished upon request by contacting CreekSide Soils. Remit bids by Noon on Friday August 9` ", 2013 Send your bid to: CreekSide Soils Bag Film Proposal City of Hutchinson 1500 Adams St. SE Hutchinson, MN 55350 Or email to akosek @creeksidesoils.com All inquiries and other correspondence to this request for bids or these specifications, both prior to and subsequent to the letting of the related contract are to be with and addressed to: Andy Kosek General Manager CreekSide Soils City of Hutchinson 1500 Adams St. SE Hutchinson, MN 55350 Phone. {320) 587 -6762 akosek @creeksidesoils.com B. Scope and Purpose These specifications are intended to provide general description for the purchase of Up to 145,000 impressions of bag film depicting the SplendorGro and WonderBlend product logo, a description of contents and are of such durability to allow such soil products to be distributed and sold to a regional customer base. C. Purchasing Process 1. Receiving requests for information from potential bidders. The City encourages questions from bidders. Bidders or their representatives are invited to establish the contacts with City staff they feel are necessary to gain an understanding of the Citys operation and packaging needs. The purpose of communication between bidders and the City is to provide information necessary so bidders can present a proposal they feel will best suit the City's packaging needs. 2. Responding to bidder requests. Any questions that bidders may have regarding specifications, the purchasing process, or the packaging needs will be answered as soon as possible after they are received. It is the City's intent to provide open, honest communication with bidders regarding packaging needs and outcome expectations. 3. Bidders prepare their bids. Bidders prepare proposals they feel will best suit the City's packaging needs. Bidders are encouraged to identify the unique features or characteristics of the packaging products they are proposing. 4. Analyzing the bid proposals. Once the City receives bids, City staff members will analyze each proposal. If questions arise during the analysis, they will be noted and bidders will be contacted for answers. Analysis is the most critical step for the City, so bidders are encouraged to include as complete a package of information as possible. 5. Scheduling pre - purchase inspections demonstrations and reference checks, if necessary. Based on its analysis, the City may request bidders to offer an inspection, demonstration or have bidders prepare a list of references for similar packaging products. The purpose of any inspection, demonstration, or reference check will be to determine if the packaging product proposed is suitable for the City's packaging needs. 6. Production Plates. The bag film depictions of the SplendorGro and WonderBlend product logo and associated artwork may be developed by the successful bidder, the city, or both entities. However, at all times, the SplendorGro and WonderBlend trademark, associated artwork, and the production plates depicting the trademark and artwork are and shall remain the property of the City of Hutchinson to be surrendered to the City of Hutchinson upon request. The successful bidder shall be responsible for the return of the production plates whether those plates are in the bidders possession or that of a third party. 7. Presenting bids that meet minimum expectations to the City Council. Once all bids are analyzed, those that meet minimum requirements will be presented to the City Council at one of their regularly scheduled meetings. The City Council has the final authority to accept, reject, or request modifications to a bid. The City Council is the final purchasing authority. No purchase agreement is valid until it is approved by the City Council. 8. Naming a successful bidder. City Staff will announce a successful bidder after their analysis. In determining the successful bidder, the City may take into consideration not only the lowest price offered, but also the actual capability of a bidder to perform the proposed contract. The City may exercise reasonable discretion in determining who is the lowest responsible bidder. The City may consider, in addition to the proposal price, the quality, suitability, and adaptability of the equipment for its intended use. The City may also consider, in addition to price, the proximity of repair and service facilities. The Hutchinson City Council reserves the right to reject all or parts of bids and to waive any informalities and irregularities. The City must deem a bidder as being responsible. "Responsible" means that the bidder is capable of performing the proposed contract, is financially responsible, and displays integrity, ability, skill, and the likelihood of providing faithful and satisfactory service. Once a successful bidder is named, City staff members will meet with the vendor to determine any final information neccessary. At this time, matters specific to the bidder's proposal will be clarified. 9. Issuing of purchase order for the packaging products. Once the arrangements are made with the successful bidder and a purchase agreement is signed, the City Administrator and /or the City Finance Director will issue a purchase order for the entire amount stated in the contract, which is considered the full purchase price for the packaging products. After purchase orders are issued, the packaging products can be delivered pursuant to terms of bid package. If there are change orders to the packaging products authorized by the City during the process of procuring the packaging products, the bidder will provide a detailed description of the changes, along with the associated deductions or charges. 10. Receiving and inspecting the packaging products. Before accepting the packaging products, the City will conduct inspections using private contractors or internal staff. These inspections are made to ensure that all the packaging products ordered was received, is operable as designed; and that all approved specifications were met. Any deficiencies will be noted and the bidder will have to correct them before the City accepts the packaging products- 11 . Final acceptance of the packaging products. Once all deficiencies noted during any inspections are corrected, the packaging products will be accepted- 1 . Bidder to submit invoice. Payment terms will be 90% of accepted packaging products at time of invoicing by bidder and approval by city council. 10% will be withheld to insure the packaging products operate in an acceptable manner with the packaging equipment utilized by the City of Hutchinson and the impressions listed on pallets is accurate with the actual count by City of Hutchinson employees. D. Detailed Specifications for soil packaging products. Please see attached specifications. RFQ- General Conditions and Specifications For Soil Packaging Products City of Hutchinson, Minnesota July 39, 2013 SOIL PACKAGING BID CITY OF HUTCHINSON DBA AS CREEKSIDE SOILS 'Ihe City of Hutchinson DBA CreekSide Soils will entertain bids from all interested vendors for the purpose of fulfilling printed soil packaging (bag film) needs from September 1, 2013 through June 1, 2015 with possible one year extension of contract, CreekSide Soils employs a Premier -Tech model FFS 200 as its' packaging unit. Unit specifications are included in bid packet. All bag counts are aggregates of total product lines. CreekSide Soils produces three product lines thereby requiring three different sets of packaging graphics. All rolled stock of completed packaging product shall be tagged with product identification and number of impressions per roll. if placed on pallet with multiple rolls, the pallet shall be tagged with total number of impressions on pallet (aggregate of roll impressions). All rolls of packaging film must be rolled so that the rolled sides are even with no vacillating edging to the rolls. CreekSide may desire to purchase miscellaneous, small quantities of specialized packaging film throughout the term of this contract. All pricing will include delivery to CreekSide Soils in Hutchinson. MN. Packaging film bid items: 1. 40# CreekSide Topsoil (printing one side) : 28.5" WEB X 18.25" RPT X 3 MIL /U Film/ 6 color process plus OL/ B -3 unwind/ core diameter 3" minimum / roll diameter 24" maximum / white opaque film 1 UVI low slip /full gauage /anti static. *New Bag Design* Alternate: 2.75 MIL Quantity 2013: 145,000 2. 40# CreekSide Manure (printing one side) : 28.5" WEB X 18.25" RPT X 3 MIL/ U Fil n/6 color process plus OL / B -3 unwind / core diameter 3" minimum / roil diameter 24" maximum / white opaque film 1 UVI low slip /full gauage /anti static. *New Bag Design* Alternate: 2.75 MIL Quantity 2013: 30,000 3. 40# CreekSide Premium Compost (printing one side) : 28.5" WEB X 18.25" RPT X 3 MIL/ U Film /6 color process plus OL. / B -3 unwind 1 core diameter 3" minimum / roll diameter 24" maximum / white opaque film / UVI low slip /full gauage /anti static. *New Bag Design* Alternate: 2.75 MIL Quantity 2013: 30,000 4. 1 cu.ft CreekSide Organic Peat (printing one side) : 28.5" WEB X 18.25" RPT X 3 MIL/ U Film/6 color process plus OL / B -3 unwind / core diameter 3" minimum / roll diameter 24" maximum ! white opaque film / UVI low slip /full gauage /anti static. *New Bag Design* Alternate: 2.75 MIL Quantity 2013: 10,000 5. 10# CreekSide Potting Soil (printing one side) : 20" WEB X 13.5" RPT X 3 MIL/ U Film/6 color process plus OL / B -3 unwind / core diameter 3" minimum / roll diameter 24" maximum / white opaque film / UVI low slip /full gauage /anti static. *New Bag Design* Alternate: 2.75 MIL Quantity 2013: 15,000 6. #20 CreekSide Potting Soil (printing one side) : 23" WEB X 16.25" RPT X 3 MLL/ U Film/6 color process plus OL / B -3 unwind / core diameter 3" minimum / roll diameter 24-maximum / white opaque film / UVI low slip /full gauage /anti static. *New Bag Design* Alternate: 2.75 MIL Quantity 2013: 30,000 7. #40 CreekSide Potting Soil (printing one side) : 28.5" WEB X 18.25" RPT X 3 MIl-/ U Film/6 color process plus OL / B -3 unwind / core diameter 3" minimum / roll diameter 24" maximum / white opaque film / UVi low slip /full gauage /anti static. *New Bag Design* Alternate: 2.75 MIL Quantity 2013: 80,000 7. 2 cu.ft CreekSide Brown Mulch (printing one side) : 33.5' WEB X 22.00" RPT X 3 MIL/ U Film/4 color process plus OL / B -3 unwind /core diameter 3" minimum 1 roll diameter 24" maximum / Clear film/UVI low slip /full gauage /anti static. Alternate: 2,75 MIL Quantity 2013: 15,000 I- I111;10VG Description of Soil Packaging Product (size, thickness, color process, operationals attributes): Product Type Quantity 2013 Season Bid 2013 Season Bid 3 mil Alternate 2.75 mil CreekSide 40# Topsoil 145,000 bags $ $ 40# Manure 30,000 bags $ $ 40# Compost 30,000 bags $ $ 1 cuft Peat 10,000 bags $ $ 10# Potting Soil 15;000 bags $ $ 20# Potting Soil 30,000 bags $ $ 40# Potting Soil 80,000 bags $ $ 2 cult. Brown Mulch 15;000 bags $ $ Product Graphics Development (set -up, film & plate) Included Yes No If no, $ Storage/Warehousing Costs; if any: $ /6 mths $ Number of days for delivery, after bid is awarded: 5% bid bond or cashier's check enclosed: Yes No Letter of bank credit in the amount of $10,000 enclosed: Yes No *will be returned after full shipment General Warranty: Yes No Duration Bidder's Name and Address: CreekSide Compost Facilities is a tax - exempt entity /12 mths Notes: • If there are price break points on the film, please include them on the bid form. • If your companies quotation form covers the information above this form doesn't need to be complete. Please submit your companys form. • If you have additional information that is not requested above and feel that it would be beneficial, please include. Fag 09 13 10:15a Robeit Edlund N !7C)N Nial ]ex Corporation CORt 7549 Brokerage Drive Orlando, FL 32$09 PH: (407) 851 -6620 FX: (407) SSS -3910 Creekside Soil city of liutcbinson 1500 Adams St. SE Rutchinson MN 55360 Phone rx. Vuvtc MIcriptu,n: Min imum Quantity MOM Number . l7escriptian 300 28.5 -1 -3-7c White Opaque Centerfotd Sheeting, No Slip, UVI, Printed 8 Colors, 18.25' Repeat 300 28.5" (003) White Opaque Centerfold Sheeting, No Slip, UYI, Printed 8 COIt3rs,1$,25° Repeat Print subjects - 4" Crockside Topsoil. R4anure,Premfum Compost, Potting Soil, aekslde Organic Compost 952- 888 -4750 p 2 Quote Number42721-725 Quote DateExpires On• FOB: Page: Sales Rep: Tony Vaccaro Unit I Unit Prim. 15 20" (00275) White Opaque Centerfold Sheeting, No Slip, Repeat UVI, Printed SColors, 13.5" 15 20" ((103) White Opaque Centerfold Sheeting, No Slip, UVI, Printed BColors, 13.5" Repeat Print su63.cts yat,a Creekside Potting Soil � 5171.11 M alas,ss M $152.79 - M 316'!.46 30 23" (aazfW vrnne Opaque Gentarlold Sheeting, No Slip, UVI, Printed 8Calors, 16.25° �_._ Repeat M $146.10 30 23" (003) VYhita Opaque Centerfold Sheeting, No Slip, UVI, Printed SCelars, 16 25" Repeat M 5157.67 Print su5)ects - 201-B Creekside Potting Soil S0; _ Estimated Plates and Artwork Each $250.00 iwttnitnum total Urder (quantity: Notes: Lead Time: 6 Weeks Terms: No Terms We gladly accept credit cards as a form of payment ['lease be advised that credit card fees will be added to your invoice if this is the form of payment t3LSClalr114 r. "this quote is subject to the terms and C:ondilions I sttd on the following; pale Aug 09 13 10:16a Robert Edlund Sales Quote w' N 1408 f Niaflex Corporation CORPORATION 7549 Brokerage Drive Orlando, FL 32809 PH: (407) 851 -6620 FY: (407) 855 -3910 Customer: Shi To: Creekside Soil Same City of Hutchinson 1500 Adams St. SE Hutchinson MN 55360 Phone: Fax; Phone: Fax: 952 - 888 -4750 p.4 Quote Number 4 42726 Quote Date: 8 812113 Expires On: 9 912113 FOB: D Delivered Page- (l.. nrr nwarr:nKn..� be Rsn- TIInv Varearo Minimum Quantity Item Number - Description Unit Unit Pr[ee quote# Z5 33.5" (003) Clear Cantariold Shooting, No Slip, UVL Printed 5 Colors, 2Z" Repeat M $265.96 Is 33.5" [00275) Clear Centerfold Sheeting, No Slip, UVI, Printed 5 Colors, 22" Repeat M $250.83 ti Mu k Estimated Artwork and Plates Eac h $250.00 1_ Estimated Plates and Artwork Minimum "lotal order Quantity: Notes: Lead Time: 6 Weeks Terms: No Terms We gladly accept credit cards as a form of payment Please be advised that credit card fees will be added to your invoice if this is the form of payment t:Ae_ Minimum "lotal order Quantity: Notes: Lead Time: 6 Weeks Terms: No Terms We gladly accept credit cards as a form of payment Please be advised that credit card fees will be added to your invoice if this is the form of payment t:Ae_ Aqg 09 13 10:16a Robert Edlund 952 - 888 -4750 p.3 "a"I 108 CORPORA.70 Customer: Creekside Soil Cite of Hutchinson 1500 Adgm St. SE Hutchinson MN 55360 IMij I t Niaflex Corporation 7549 Brokerage Drive Orlando, FL 32809 PH: (407) 851 -6620 FX: (407) 855-3910 Fax: Quote Number Quote Date: Expires On: FOB: Page: Ship To: Same Phone: Fa-y: Quote Dovripl ;on: Sales Rep: 'forty Vaccaru Resin Price 1oa:ea M When resin prices inovcasc during lance of this purchase ordv, we reserve the regtit to it m ,din iel, incr se the price(,;) for all products increase is regeti[ed. In the event that resin produoen institute a "Force Majetde" "cries, we re&cr ee the right to at(ju st listed prices med(m shipuoera dates in accordance with our ability to purchase resin. Priers are subject to chop witboat nofict- Terars: prepay_ (Unless other mutually atpeetl upon terms have been reached in writing) P"thicdm Qvarl Utsdsr Rum: Our production matff tmkes every e0m to rnaauGci, rc custom ua.nx egtuil to the amoart ofyour purdrese order. Hawever, ocaaviomAlvv vagrionccs between yourpurckue order and actual prodncrim will occur. Custom iternu ordered under 7,000 Ibs will be rnumd:ntwcd and accorded a +l- 20% variance Custdrn iletrc ordered in amoimta gcnter than >,DOU Ibs will be manufactured and arewded a it- 1Q°o valiance. We reserve the right to ship and m-mce the final t(uarrtity manufactured subject to the over and trader allowma* listed above Should this Oc=it will constitute complete Nfilimcul oftiie ceder. Liability; Sol Remedy: We make nu rcprescntuions Or warranties of arty kind, tither express Or unplicd, including, but not limited to, warraorics of morclwnrahibly or tihtess for a pinUcubr purpose. In prevent wiU we he liable to you for awry indirect, incidental, special, a coma lucmiel damages ofary hind, or toss of revenue or profits. loss of husincss_ err Oilier 6rvrmainl less oven ifwc have been adwsed of the same. 1'oa seta and exclntsive sarneciy for non- confirming or defective product shall be tither the refunil of the purchase price for die non - conforming or defective product or rulrtr -maent ofihe noneonforriing err defective product, as detamined by us: pro6dod [hers, you mast notify nu ofsm• such as nonxon fornimec Taxes: In addition to the purchase price for pirdua, yx�u wal be invoiced and rrsponsiblr for an npplieible talcs, use, and similar taus On occoont of the sak of the product from us to you. Indentaifi tiota; You will defend, tedemaify, and hold as lwr+nkss 5om and against any and all claims, liability, and otperase {including reasonable attorneys feavJ: (1) fur inituy nr death of any person, and (2 ) for darnage or loss of property !including the unvievrxrtattl, reltaing in my nay to your possession, use, handling, slor.W. processing, disposal, resale, ormtransfer of product purchased brim us. courtdeatiality: You agree to keep dw scrum and corAfiz ons of ilds purchase order confrden". General: Our agrmmanf with you is sulgext ro change by us upon strikes, acts ofGod, material slmfinwig s or o>bcr delays that or mowtidable or beyond mar e m"l. Churns involving quantity, quality, or damaged product must be made no later than 30 days aficr delivery_ Goods will not be accepted for return without our written consent. il m ter lbe event Icgai ne.s arc neeecRary to collect an lnw =. cust er aeec& to py all leat fees and collection chargm Ni purchase order weft be interpreted and xo�etned aw- ording to the substantive laws of Florid& Venue for my lictud action arising out ofthis purchase order shah be cxckisitmly in dnc VAtc or k4crai hurts in Orange County, Florida. 42721 -725 812113 912113 2of2 �r manual Soluti m T%Mgh Printed Material 46193arr A1r 6rookly yNY 11224 ee111 a496.I xM1 fxs 718.265.5031 hfeaeeop6mcm W512013 City of HuWhismn dbe Creekside Soft 1500 Adams Street SE Hutchinson, MN 55350 Attn: Andy Kossk! Mgr Becky Kobow tat 320 - 234.5865 sales Tel 320.234 -5680 Jbid for Needs from 911!2013 to 67172016 Fox: 320. 234.5649 akosok(15�creokaidesoils, �m Dear Mr Kesek� Thank you for a$owing us the opportunity io demominate our savings fa your company. Phase review the quotation below. QUOTATION DEADLINE AUGUST 9TH Product Graphics Development (set -up, film & plale) IrwAuded If no, $ 250.00 per color StorageANarehousing Costs, if any! E 16 mths $ 112 mths store up to 2 months - after 2 months, fee will be $6.00 per skid. Number of days for delivery, after bid is awarded: 4 wks 6% bpd bond or Cashier's check enclosed: Yea No Letter of bank aedil in the amount of $10,000 enclosed: Yes No xx 'Will be returned after ful shipment General Warranty: Yes xx No DuraHpn 12 months Thanx you for akowing us me opportunity to demonstrate our savings for your corrlpany Looking forward W serving you to the best of my ability. Sincerely, Josh Lefkovntz Aa'� cupls,Ma-_ jp131131Tpn11 arMB3t131132Wp S" GAON 00WRISICES UM'AW CORE ROLL _ OTY PFWW rM 20 b OWCxo Poni 23' wee s :5.75' is 2,75 me 7c Plop OL t,b e3 3' N" W" - V Ian. UVI Law LP 95m 156.26 3.80 M afro 166.76 1 cu R. W"& tine Oa',Ien Mla 2s 5 rwex 18 d0'ra 2.]5 mN hP1. OL 24 N 3" wlree uelu lkn7 Wl Lbwl fWil at 30m 268.80 3.01.11 San 281.20 32 Wr duiill.WC -W WMbf'ap 29.5' Wbz 18.50'_ 2.75.11 7. A. OL 2. as 3' N- whb case. u lent Wl laws rare -pat 91bn 268.80 3.p0 mil 30m 6289.20 q Qt Geeax To WI 385'wee'.r 18.25 ,e I 2.]5 mil Bc Pkre OL 1K 03 T •mete �efU fAn, L'Yl Law e' fanB�lY 145. 6193.20 300.1 145. 207.60 40E C,.k Mi- 28.5 webs 1825'_ I 2.15.11 Bc P"M 1,. a3 3' N' •eTfe w•u1, „,l Wl -.1, iwhN w. 231.60 y pp rap 30m 249.60 4O a Craakk to Nan CPm 26.5` w18 a 1825' _ 2 75 mil 8c Para eL th 0 y N' wnee w f U ri n WI Lpa 1 : aM -alp 30m 6231.60 3-ao ne Sam 249.60 1 N a. Creekske Pmt 28.5"wv0 N 18 26" 2151p W Pus Cl 1,x M 3` MNe w U eM! uvl Low sit, aribsrs tan 351.20 app ay Torn 356.40 101b Geelw4 Patin spit 3O'wm x 13.5'_ al 2151rd 6, Pus OL 1!s M T M' Mile a e U films uv, Low Ui : e,a.euT T5m 22920 300W 15m $246 .40 101b Goalwaa PWAh sW 29'vwe n 1823' _ A 2]e mN tk PINS OL 1+e 03 W vti8e b e e i u Mm, UN law M : a 30m 176.40 3 00 me San 190.80 iC b GM.rEe PaeP sal 255 vwe a 18.25' ro - 2.75.N 0c Hors M 11. e3 3" N" e U Nm uvl Lvw eN : a WI 8Pn 6216.06 ,.o2mN 2 4c %1NS ur '.s 83 Y CLEAR t.I.M u 1Nm. a ar sit' ere -pae ann ISn $232.30 324.06 -11 �faekr,ae aiann MWC,r 33.5'waa x 12'+e cal 3 mmll .1 15rn 38.00 DEADLINE AUGUST 9TH Product Graphics Development (set -up, film & plale) IrwAuded If no, $ 250.00 per color StorageANarehousing Costs, if any! E 16 mths $ 112 mths store up to 2 months - after 2 months, fee will be $6.00 per skid. Number of days for delivery, after bid is awarded: 4 wks 6% bpd bond or Cashier's check enclosed: Yea No Letter of bank aedil in the amount of $10,000 enclosed: Yes No xx 'Will be returned after ful shipment General Warranty: Yes xx No DuraHpn 12 months Thanx you for akowing us me opportunity to demonstrate our savings for your corrlpany Looking forward W serving you to the best of my ability. Sincerely, Josh Lefkovntz Aa'� cupls,Ma-_ jp131131Tpn11 arMB3t131132Wp CITY OF HUTCHINSON R55CKREG LOG22001VO Council Check Register 1 Check Date 8/13/13 - 8/27/13 Check # Ck Date Amount Vendor/ Explanation 177177 8/13/2013 600.00 ALBERS, LANCE 177178 8/27/2013 829.00 A & K REPAIR 177179 8/27/2013 464.00 AARP 177180 8/27/2013 152.41 ACE HARDWARE 177181 8/27/2013 2,304.37 AEM MECHANICAL SERVICES, INC 177182 8/27/2013 121.92 AMERICAN BOTTLING CO 177183 8/27/2013 90.85 AMERICAN FAMILY INS CO. 177184 8/27/2013 73.10 AMERIPRIDE SERVICES 177185 8/27/2013 1,497.21 ANDERSON CRANE RUBBER COMPANY 177186 8/27/2013 777.09 ANIMAL MEDICAL CENTER ON CROW 177187 8/27/2013 684.88 ARCTIC GLACIER PREMIUM ICE INC 177188 8/27/2013 651.00 ARNESON DISTRIBUTING CO 177189 8/27/2013 658.16 AUTO VALUE - GLENCOE 177190 8/27/2013 49,740.00 BARGEN INC 177191 8/27/2013 1,402.00 BARN YARD, THE 177192 8/27/2013 787.06 BERGER PLUMBING HEATING AC 177193 8/27/2013 158.30 BERNICK'S 177194 8/27/2013 537.00 BINSFIELD TIREMAXX 177195 8/27/2013 694.04 BRANDON TIRE CO 177196 8/27/2013 9,614.00 BRAUN INTERTEC CORP 177197 8/27/2013 267.18 BREEZY POINT RESORT 177198 8/27/2013 50.00 BROWN, ALEX 177199 8/27/2013 1,471.88 BRYAN ROCK PRODUCTS 177200 8/27/2013 55.04 BUSINESSWARE SOLUTIONS 177201 8/27/2013 33,490.50 C & L DISTRIBUTING 177202 8/27/2013 530.56 CALIFORNIA CONTRACTORS SUPPLIE 177203 8/27/2013 10.00 CARVER COUNTY 177204 8/27/2013 609.60 CASH WISE 177205 8/27/2013 107.41 CENTRAL LANDSCAPE SUPPLY 8/21/2013 Account Description PROFESSIONAL SERVICES RECEIVED NOT VOUCHERED PROFESSIONAL SERVICES OPERATING SUPPLIES CONTRACT REPAIR & MAINTENANCE COST OF MIX & SOFT DRINKS ACCRUED LIFE INSURANCE CONTRACT REPAIR & MAINTENANCE REPAIR & MAINTENANCE SUPPLIES OTHER CONTRACTUAL COST OF MIX & SOFT DRINKS COST OF SALES -BEER EQUIPMENT PARTS STREET REPAIRS PALLET REPAIR CONTRACT REPAIR & MAINTENANCE COST OF MIX & SOFT DRINKS RECEIVED NOT VOUCHERED AUTOMOTIVE REPAIR PROFESSIONAL SERVICES TRAVEL SCHOOL CONFERENCE BUILDING PERMITS CONTRACT REPAIR & MAINTENANCE OPERATING SUPPLIES COST OF SALES -BEER SIGNS & STRIPPING MATERIALS TRAVEL SCHOOL CONFERENCE MEETINGS REPAIR & MAINTENANCE SUPPLIES 177206 8/27/2013 78.08 CENTRAL MCGOWAN RENTALS 177207 8/27/2013 883.03 CLAREY'S SAFETY EQUIP INC CONTRACT REPAIR & MAINTENANCE 177208 8/27/2013 69.47 CLEAN CUT LAWN CARE OTHER CONTRACTUAL 177209 8/27/2013 42.75 CMK SERVICES LLC OTHER CONTRACTUAL 177210 8/27/2013 444.60 COLD SPRING GRANITE CO IMPROV OTHER THAN BLDGS 177211 8/27/2013 11.00 CORRA GROUP MISCELLANEOUS 177212 8/27/2013 213.09 CREATIVE DETAILS UPHOLSTERY CENTRAL GARAGE REPAIR 177214 8/27/2013 265.36 CROW RIVER PRESS INC PRINTING & PUBLISHING 177216 8/27/2013 399.60 CROW RIVER WINERY COST OF SALES -WINE 177217 8/27/2013 602.30 CUMMINS NPOWER, LLC CONTRACT REPAIR & MAINTENANCE 177218 8/27/2013 7,450.65 DAY DISTRIBUTING COST OF SALES -BEER 177219 8/27/2013 121.68 DETROIT INDUSTRIAL TOOL SAFETY SUPPLIES 177220 8/27/2013 6,181.62 DPC INDUSTRIES INC CHEMICALS & PRODUCTS 177221 8/27/2013 624.01 DROP -N -GO SHIPPING, INC PRINTING & PUBLISHING 177222 8/27/2013 372.59 DYNA SYSTEMS REPAIR & MAINTENANCE SUPPLIES 177223 8/27/2013 601.14 E2 ELECTRICAL SERVICES INC CONTRACT REPAIR & MAINTENANCE 177224 8/27/2013 58.25 ECOLAB PEST ELIMINATION CONTRACT REPAIR & MAINTENANCE 177225 8/27/2013 3,700.00 EHLERS & ASSOCIATES INC PROFESSIONAL SERVICES 177226 8/27/2013 429.93 ELECTRO WATCHMAN CONTRACT REPAIR & MAINTENANCE 177227 8/27/2013 75.00 EVERGREEN LOCKSMITHING PROFESSIONAL SERVICES 177228 8/27/2013 34.00 EVERS, MATT RECREATION ACTIVITY FEES 177229 8/27/2013 125.00 EWING, PETER UNIFORMS & PERSONAL EQUIP 177230 8/27/2013 532.50 EXTREME BEVERAGE LLC COST OF MIX & SOFT DRINKS 177231 8/27/2013 900.00 FACILITY DUDE OTHER CONTRACTUAL 177232 8/27/2013 50.30 FASTENAL COMPANY RECEIVED NOT VOUCHERED 177233 8/27/2013 101.33 FEDEX SHIPPING 177234 8/27/2013 168.40 FIRST CHOICE FOOD & BEVERAGE S OPERATING SUPPLIES 177235 8/27/2013 44.54 FISCHER, JAN WATER BILL REFUND 177236 8/27/2013 122.60 G & K SERVICES OPERATING SUPPLIES 177237 8/27/2013 10.42 GAPP, BRAD WATER BILL REFUND 177238 8/27/2013 3,200.00 GAVIN, OLSON & WINTERS, LTD PROFESSIONAL SERVICES 177239 8/27/2013 83.88 GLENCOE POLICE DEPT SAFE & SOBER REIMBURSEMENT 177240 8/27/2013 1,044.90 GRAINGER REPAIR & MAINTENANCE SUPPLIES 177241 8/27/2013 200.00 GREENMAN, DON RENTS - BLDGS OTHER 177242 8/27/2013 567.90 H.A. R.T. ACCRUED DEFERRED COMP 177243 8/27/2013 34.20 HAGER JEWELRY INC. OPERATING SUPPLIES 177244 8/27/2013 1,006.00 HART'S AUTO SUPPLY AUTOMOTIVE REPAIR 177245 8/27/2013 85.46 HAUG IMPLEMENT CO RECEIVED NOT VOUCHERED 177246 8/27/2013 4,235.19 HAWKINS INC CHEMICALS & PRODUCTS 177247 8/27/2013 470.00 HICKS BUS LINE INC OTHER CONTRACTUAL 177248 8/27/2013 238.21 HILLYARD / HUTCHINSON CLEANING SUPPLIES 177249 8/27/2013 129.29 HIRSHFIELD'S INC REPAIR & MAINTENANCE SUPPLIES 177250 8/27/2013 560.00 HOLT PETERSON CHARTER BUS OTHER CONTRACTUAL 177251 8/27/2013 21.37 HUTCH AUTO & TRUCK PARTS CENTRAL GARAGE REPAIR 177252 8/27/2013 486.28 HUTCH CAFE OPERATING SUPPLIES 177253 8/27/2013 1,457.00 HUTCHINSON AREA HEALTH CARE COMMON AREA MAINTENANCE 177254 8/27/2013 3,531.50 HUTCHINSON CO -OP LANDSCAPE MATERIALS 177255 8/27/2013 100.00 HUTCHINSON PHOTOGRAPHY CLUB PROFESSIONAL SERVICES 177256 8/27/2013 1,367.40 HUTCHINSON SENIOR ADVISORY BOA OTHER CONTRACTUAL 177257 8/27/2013 378.79 HUTCHINSON WHOLESALE CENTRAL GARAGE REPAIR 177258 8/27/2013 4,680.47 HUTCHINSON, CITY OF UTILITIES 177259 8/27/2013 4,000.00 HUTCHINSON, CITY OF ATM REPLENISHMENT 177260 8/27/2013 9.17 INDEPENDENT EMERGENCY SERVICES COMMUNICATIONS 177261 8/27/2013 326.88 INDIAN ISLAND WINERY COST OF SALES -WINE 177262 8/27/2013 3,600.00 INFRATECH CONTRACT REPAIR & MAINTENANCE 177263 8/27/2013 572.89 INTEGRATED POWER SERVICES LLC EQUIPMENT PARTS 177264 8/27/2013 6,422.35 INTERSTATE POWER COMPANIES, I EQUIPMENT REPAIR 177265 8/27/2013 162.18 INTERSTATE BATTERY SYSTEM MINN EQUIPMENT PARTS 177266 8/27/2013 260.19 INTOXIMETERS INC OPERATING SUPPLIES 177267 8/27/2013 425.64 JEFF'S ELECTRIC EQUIPMENT PARTS 177268 8/27/2013 238.05 JJ TAYLOR DIST OF MN COST OF SALES -BEER 177269 8/27/2013 353.75 JOES SPORT SHOP OPERATING SUPPLIES 177270 8/27/2013 19,698.97 JOHNSON BROTHERS LIQUOR CO. COST OF SALES -WINE 177271 8/27/2013 170.00 JOHNSON, JEREMY RENTS -BLDGS OTHER 177272 8/27/2013 893.50 JUUL CONTRACTING CO CONTRACT REPAIR & MAINTENANCE 177273 8/27/2013 760.95 KAHNKE BROTHERS NURSERY OPERATING SUPPLIES 177274 8/27/2013 51.44 KARG, DARLENE WATER BILL REFUND 177275 8/27/2013 119.99 KERN, CONNOR UNIFORMS & PERSONAL EQUIP 177276 8/27/2013 28.70 KOSEK, ANDREW TRAVEL SCHOOL CONFERENCE 177277 8/27/2013 100.00 KOSEK, RICHARD UNIFORMS & PERSONAL EQUIP 177278 8/27/2013 699.16 L & P SUPPLY CO CENTRAL GARAGE REPAIR 177279 8/27/2013 896.26 LARAWAY ROOFING INC CONTRACT REPAIR & MAINTENANCE 177280 8/27/2013 41.50 LEXISNEXIS OCC HEALTH SOLUTION DRUG TESTING 177281 8/27/2013 1,215.71 LIFE INSURANCE COMPANY OF AMER EMPL.HEALTH & INS. BENEFIT 177282 8/27/2013 809.86 LIFE INSURANCE COMPANY OF AMER EMPL.HEALTH & INS. BENEFIT 177283 8/27/2013 766.58 LIFE INSURANCE COMPANY OF AMER ACCRUED LIFE INSURANCE 177284 8/27/2013 25,779.46 LOCHER BROTHERS INC COST OF SALES -BEER 177285 8/27/2013 18,009.09 LOGIS OTHER CONTRACTUAL 177286 8/27/2013 20.00 LYNDE & MCLEOD INC FREIGHT 177287 8/27/2013 170.00 MACKEDANZ, SHELLY RENTS -BLDGS OTHER 177288 8/27/2013 10,368.56 MACQUEEN EQUIP INC CENTRAL GARAGE REPAIR 177289 8/27/2013 749.24 MARION MIXERS, INC RECEIVED NOT VOUCHERED 177290 8/27/2013 14.09 MATHESON TRI -GAS INC RENTALS 177291 8/27/2013 289.36 MAYTAG LAUNDRY & CAR WASH PROFESSIONAL SERVICES 177292 8/27/2013 38.63 MCKAY, KAREN OFFICE SUPPLIES 177293 8/27/2013 92.00 MCLEOD COUNTY RECORDER PROFESSIONAL SERVICES 177294 8/27/2013 1,237.90 MCLEOD COUNTY SHERIFF'S OFFICE SAFE & SOBER REIMBURSEMENT 177295 8/27/2013 350.00 MCLEOD FOR TOMORROW TRAVEL SCHOOL CONFERENCE 177296 8/27/2013 770.44 MCRAITH, JOHN OPERATING SUPPLIES 177297 8/27/2013 20.00 MDRA TRAVEL SCHOOL CONFERENCE 177298 8/27/2013 95,686.77 MEDICA DUE TO EMPLOYEE INSURANCE 177299 8/27/2013 1,308.69 MEEKER COUNTY SHERIFF'S OFFICE SAFE & SOBER REIMBURSEMENT 177300 8/27/2013 477.41 MENARDS HUTCHINSON OPERATING SUPPLIES 177301 8/27/2013 385.65 MILLNER HERITAGE VINEYARD & WI COST OF SALES -WINE 177302 8/27/2013 921.66 MINI BIFF PROFESSIONAL SERVICES 177303 8/27/2013 79.20 MINNEAPOLIS, CITY OF OTHER CONTRACTUAL 177304 8/27/2013 225.00 MINNESOTA ASSN OF CEMETERIES TRAVEL SCHOOL CONFERENCE 177305 8/27/2013 130.00 MINNESOTA DEPT OF LABOR & IND DUES & SUBSCRIPTIONS 177306 8/27/2013 43.00 MINNESOTA DEPT OF MOTOR VEHICL VEHICLE REGISTRATION 177307 8/27/2013 12.75 MINNESOTA DEPT OF MOTOR VEHICL MACHINERY & EQUIPMENT 177308 8/27/2013 559.39 MINNESOTA DEPT OF TRANSPORTATI PROFESSIONAL SERVICES 177309 8/27/2013 507.00 MINNESOTA PUBLIC EMPLOYEES AS ACCRUED UNION DUES 177310 8/27/2013 225.00 MINNESOTA RURAL WATER ASSN DUES & SUBSCRIPTIONS 177311 8/27/2013 300.00 MINNESOTA VALLEY TESTING LAB OTHER CONTRACTUAL 177312 8/27/2013 78.00 MINNESOTA WINEGROWERS COOPERAT COST OF SALES -WINE 177313 8/27/2013 6,120.00 MMC PROFESSIONAL SERVICES 177314 8/27/2013 281.51 MOORE, ERIC TRAVEL SCHOOL CONFERENCE 177315 8/27/2013 158.31 MOTION INDUSTRIES INC RECEIVED NOT VOUCHERED 177316 8/27/2013 62.50 MPCA OTHER CONTRACTUAL 177317 8/27/2013 25.00 MWOA DUES & SUBSCRIPTIONS 177318 8/27/2013 200.00 NOSBUSH, ADAM RENTS -BLDGS OTHER 177319 8/27/2013 98.20 OFFICE OF ENTERPRISE TECHNOLOG COMMUNICATIONS 177320 8/27/2013 62.50 OLSON'S LOCKSMITH CONTRACT REPAIR & MAINTENANCE 177322 8/27/2013 482.25 PAUSTIS & SONS WINE CO COST OF SALES -WINE 177323 8/27/2013 19,784.45 PHILLIPS WINE & SPIRITS COST OF SALES -WINE 177324 8/27/2013 80.95 PIONEER SMALL TOOLS 177325 8/27/2013 138.00 POSTMASTER POSTAGE 177326 8/27/2013 69.19 POWERS, SCOTT WATER BILL REFUND 177327 8/27/2013 75.00 PRIEVE LANDSCAPING & LAWN CARE CONTRACT REPAIR & MAINTENANCE 177328 8/27/2013 30.18 PRO -BUILD REPAIR & MAINTENANCE SUPPLIES 177329 8/27/2013 143.49 QUADE ELECTRIC REPAIR & MAINTENANCE SUPPLIES 177330 8/27/2013 59.00 R & R SPECIALTIES INC CONTRACT REPAIR & MAINTENANCE 177331 8/27/2013 1,153.30 R.J.L. TRANSFER FREIGHT 177332 8/27/2013 1,212.40 RANDY'S REPAIR SERVICE RECEIVED NOT VOUCHERED 177333 8/27/2013 26,576.10 RANGER MACHINERY & EQUIPMENT 177334 8/27/2013 60.35 RBSCOTT EQUIPMENT RECEIVED NOT VOUCHERED 177335 8/27/2013 34.63 RECREONICS FOOD PRODUCTS - CONCESSION 177336 8/27/2013 7,886.81 REINER ENTERPRISES, INC FREIGHT - IN 177337 8/27/2013 53.80 REMAX TODAY'S REALTY WATER BILL REFUND 177338 8/27/2013 358.60 REOTEMP INSTRUMENT CORP RECEIVED NOT VOUCHERED 177339 8/27/2013 143.48 RIPPE PRINT COMMUNICATIONS RECEIVED NOT VOUCHERED 177340 8/27/2013 140.00 ROSTBERG, HEIDI OTHER CONTRACTUAL 177341 8/27/2013 246.87 SALTMAN LLC REPAIR & MAINTENANCE SUPPLIES 177342 8/27/2013 130.00 SCHARN, PATRICK DEMOLITION PERMITS 177343 8/27/2013 78.55 SCHIMMEL, JOSHUA ACCOUNTS PAYABLE MANUAL 177344 8/27/2013 1,262.40 SCHMELING OIL CO MOTOR FUELS & LUBRICANTS 177345 8/27/2013 78.52 SCHRAMM, DEREK WATER BILL REFUND 177346 8/27/2013 64.13 SCOTT'S WINDOW CLEANING SERVIC CONTRACT REPAIR & MAINTENANCE 177347 8/27/2013 2,754.00 SEH PROFESSIONAL SERVICES 177348 8/27/2013 175.00 SHAW, KAREN PROFESSIONAL SERVICES 177349 8/27/2013 1,561.18 SHI INTERNATIONAL CORP DUE FROM UTILITIES 177350 8/27/2013 33.45 SHRED -IT USA INC- MINNEAPOLIS CONTRACT REPAIR & MAINTENANCE 177351 8/27/2013 8,678.68 SIMPLE BENEFIT PLAN ADM LLC CLAIMS - DENTAL 177352 8/27/2013 160.31 SIMPLEXGRINNELL LP CONTRACT REPAIR & MAINTENANCE 177353 8/27/2013 9,802.33 SOUTHERN WINE & SPIRITS OF MN COST OF SALES -WINE 177354 8/27/2013 2,016.73 SPRINT COMMUNICATIONS 177355 8/27/2013 94.40 SPS COMMERCE RECEIVED NOT VOUCHERED 177356 8/27/2013 909.15 STAPLES ADVANTAGE REPAIR & MAINTENANCE SUPPLIES 177357 8/27/2013 1,838.90 STREICH TRUCKING FREIGHT - IN 177358 8/27/2013 25.00 TAPS -LYLE SCHROEDER PROFESSIONAL SERVICES 177359 8/27/2013 2,842.06 THOMSON REUTERS -WEST OPERATING SUPPLIES 177360 8/27/2013 500.00 TIGERSHARKS SWIM & DIVE COMPOST BAGS 177361 8/27/2013 92.70 TRI COUNTY WATER OPERATING SUPPLIES 177362 8/27/2013 924.00 TRUE AMERICAN LOGISTICS LLC FREIGHT 177363 8/27/2013 700.00 VACTOR MANUFACTURING TRAVEL SCHOOL CONFERENCE 177364 8/27/2013 39.99 VERIZON WIRELESS COMMUNICATIONS 177365 8/27/2013 21,624.90 VIKING BEER COST OF SALES -BEER 177366 8/27/2013 353.04 VIKING COCA COLA COST OF MIX & SOFT DRINKS 177367 8/27/2013 1,167.25 VINOCOPIA INC COST OF SALES - LIQUOR 177368 8/27/2013 1,588.41 WASTE MANAGEMENT OF WI -MN REFUSE - RECYCLING 177369 8/27/2013 49,589.90 WASTE MANAGEMENT OF WI -MN REFUSE - LANDFILL CHARGES 177370 8/27/2013 60.00 WELCOME NEIGHBOR ADVERTISING 177371 8/27/2013 2,438.30 WESTAFER ENTERPRISES ADVERTISING 177372 8/27/2013 1,875.74 WINE COMPANY, THE COST OF SALES -WINE 177373 8/27/2013 996.98 WINE MERCHANTS INC COST OF SALES -WINE 177374 8/27/2013 1,712.35 WINSTED POLICE DEPARTMENT SAFE & SOBER REIMBURSEMENT 177375 8/27/2013 5,949.10 WIRTZ BEVERAGE MINNESOTA COST OF SALES - LIQUOR 177376 8/27/2013 48.00 WITTE SOD FARMS INC OPERATING SUPPLIES 177377 8/27/2013 445.62 WM MUELLER & SONS STREET MAINT.MATERIALS 177378 8/27/2013 153.00 WOODLAND HILL VINEYARDS LLC COST OF SALES -WINE 177379 8/27/2013 5,868.77 WORK CONNECTION, THE 177380 8/27/2013 182.00 ZACKRISON, BRENDA 177381 8/27/2013 219.04 ZELLAS 177382 8/27/2013 197.67 ZEP MANUFACTURING CO 553,460.07 Grand Total Payment Instrument Totals Check Total 553,871.06 Total Paymen 553,871.06 CONTRACT REPAIR & MAINTENANCE NOTARY RENEWAL OPERATING SUPPLIES EQUIPMENT PARTS ELECTRONIC FUNDS TRANSFERS 8/27/2013 TAX FUND PAYABLE TO AMOUNT FUEL HATS MN DEPT OF REV $1,350.90 SALES TAX LIQUOR MN DEPT OF REV $67,257.00 SALES TAX PRCE CIVIC ARENA MN DEPT OF REV $3,118.00 SALES & USE TAX WATER SEWER CREEKSIDE MN DEPT OF REV $13,194.00 $84,919.90 PAYROLL ELECTRONIC FUNDS TRANSFERS PAYROLL DATE: 08/09/2013 Period Ending Date: 08/03/2013 $62,656.10 IRS - Withholding Tax Account Federal Withholding Employee /Employer FICA Employee /Employer Medicare $11,930.41 MN Department of Revenue State Withholding Tax $39,513.39 Public Employee Retirement Association Employee /Employer PERA/DCP Contributions $2,098.93 TASC Employee Flex Spending Deductions $10,988.92 TASC Employee Contributions to Heath Savings Account Employer Contributions to Heath Savings Account $525.00 MNDCP Employee Contributions - Deferred Comp $1,340.00 ING Employee Contributions - Deferred Comp $1,310.00 ICMA Retirement Trust Employee Contributions - Deferred Comp $417.96 MN Child Support System Employee Deductions $0.00 MSRS - Health Savings Plan Employee Deductions to Health Savings Plan $130,780.71 Total Electronic Funds Transfer PAYROLL ELECTRONIC FUNDS TRANSFERS PAYROLL DATE: 08/23/2013 Period Ending Date: 08/17/2013 $61,999.90 IRS - Withholding Tax Account Federal Withholding Employee /Employer FICA Employee /Employer Medicare $11,850.42 MN Department of Revenue State Withholding Tax $39,402.36 Public Employee Retirement Association Employee /Employer PERA/DCP Contributions $2,098.93 TASC Employee Flex Spending Deductions $10,988.92 TASC Employee Contributions to Heath Savings Account Employer Contributions to Heath Savings Account $525.00 MNDCP Employee Contributions - Deferred Comp $1,340.00 ING Employee Contributions - Deferred Comp $1,310.00 ICMA Retirement Trust Employee Contributions - Deferred Comp $417.96 MN Child Support System Employee Deductions $0.00 MSRS - Health Savings Plan Employee Deductions to Health Savings Plan $129,933.49 Total Electronic Funds Transfer CITY OF HUTCHINSON R55CKREG LOG22001VO Council Check Register 2 Check Date 8/13/13 - 8/27/13 Check # Ck Date Amount Vendor/ Explanation 177213 8/27/2013 90.00 CROW RIVER GLASS Account Description CONTRACT REPAIR & MAINTENANCE 177215 8/27/2013 293.90 CROW RIVER SIGNS MACHINERY & EQUIPMENT 8/21/2013 CITY OF HUTCHINSON R55CKREG LOG22001VO Council Check Register 3 Check Date 8/13/13 - 8/27/13 Check # Ck Date Amount Vendor / Explanation 177321 8/27/2013 27.09 OUTDOOR MOTION Account Description BIKE REPAIRS 8/21/2013 HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: Public Hearing - Owner Occupied Rehab Program Department: HRA LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Jean Ward Agenda Item Type: Presenter: Jean Ward Reviewed by Staff ❑ Public Hearing Time Requested (Minutes): 10 License Contingency N/A Attachments: Yes BACKGROUND /EXPLANATION OFAGENDA ITEM: PUBLIC HEARING FOR THE OWNER OCCUPIED REHAB SCDP PROGRAM GRANT CDAP -11- 0023- 0 -FY12 A Public Hearing will be held on Tuesday, August 27th at 6:00 P.M. at the City Center City Council Chambers to update the community regarding the status of the program. The grant budget, expenditures and goals will be reviewed for the targeted NE and SW neighborhoods of Hutchinson. BOARD ACTION REQUESTED: No action 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 =q�f�� Request for Board Action 7AL Agenda Item: Annual Update by the Coalition of Greater MN Cities Department: Administration LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Jeremy Carter Agenda Item Type: Presenter: Jeremy Carter Reviewed by Staff ❑ Communications, Requests Time Requested (Minutes): 15 License Contingency N/A Attachments: No BACKGROUND /EXPLANATION OFAGENDA ITEM: The City of Hutchinson is a member of the Coalition of Greater Minnesota Cities. The purpose and focus of the coalition is to promote initiatives that provide positive benefits to out -state cities. In addition, during the legislative session the coalition lobby's on behalf of its membership, important issues that impact membership. Often times, laws and legislative bills are reviewed and discussed at the legislature and input is given by coalition staff and coalition board members so that amendments or changes being proposed or discussed have the viewpoints presented from out -state cities. On an annual basis, the Coalition of Greater Minnesota Cities tours the State providing updates to its members. At Tuesday's meeting Amanda Duerr from the Coalition of Greater Minnesota Cities will provide a brief update on topics covered during the legislature session and topics currently being worked on. Any questions on this topic please contact me. Thanks BOARD ACTION REQUESTED: Annual Update from the Coalition of Greater Minnesota Cities. I power point presentation will be reviewed. Fiscal Impact: $ 0.00 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 =y�fAa� Request for Board Action 7AL =-vz Agenda Item: UPDATE FROM FACILITIES COMMITTEE Department: Planning and Zoning LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Dan Jochum /John Paulson Agenda Item Type: Presenter: Dan Jochum Reviewed by Staff ❑ New Business Time Requested (Minutes): 15 License Contingency N/A Attachments: Yes BACKGROUND /EXPLANATION OFAGENDA ITEM: UPDATE FROM FACILITIES COMMITTEE Dan Jochum will provide an update of recommended facilities improvement projects for 2013. Please see attached list of facilities projects. If you have questions please contact me. BOARD ACTION REQUESTED: None 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: Project Name Facility Name Department Cost CIPP Score Year Parks Garage Overhaul Parks Garage Parks $100,000 375 2013 Precast Restroom West River Park Parks $80,000 360 2013 SD Parking Lot Replacement Senior Dining Planning Building Zoning $47,153 340 2013 Bandshell Renovate Library Band Shell Parks $20,000 320 2013 FD Ventilation Fire Hall Fire $8,250 310 2013 FD Floor Fire Hall Fire $25,000 300 2013 FD Door Openers Fire Hall Fire $5,500 300 2013 RC exit doors Recreation Center Parks $8,000 295 2013 SP Roof South Park Parks $20,000 295 2013 OP Shelter Roof Oddfellows Park Parks $5,000 280 2013 CC Front Doors City Center Planning Building Zoning $10,000 270 2013 LP Roof Legion Park Parks $5,000 270 2013 CC Carpet City Center Planning Building Zoning $25,000 260 2013 RC Main Air Handler Recreation Center Parks $42,600 255 2013 PD Windows Police Department Police $10,000 215 2013 FD Parking Lot Fire Hall Fire $42,917 195 2013 PD Attic Insulation Police Department Police $5,000 165 2013 2013 Total l $459,420 1 RP Backstops fencing Roberts Park Parks $125,000 365 2014 VMF Backstop /Dugouts VMF Parks $115,000 305 2014 Parks Garage Electrical -HVAC Parks Garage Parks $50,000 300 2014 2014 Total l $290,000 Dehumidification Units* Civic Arena Parks $816,500 340 2015 East Rink Roof Replacement* Civic Arena Parks $664,000 310 2015 Refrigeration units* Civic Arena Parks $1,315,900 305 2015 East Rink Insulation Reface* Civic Arena Parks $792,000 275 2015 CA East Dasher Boards* Civic Arena Parks $230,500 240 2015 CA East Tough Flex Flooring* Civic Arena Parks $49,400 240 2015 CA West Low Emissivity Ceiling* Civic Arena Parks $88,300 * 2015 CA Restroom meeting ADA * Civic Arena Parks $13,600 * 2015 CA Misc Room Improvements* Civic Arena Parks $53,400 * 2015 CA Electrical System Upgrades* Civic Arena Parks $228,000 * 2015 * See info from Stevens Report 1 2015 Total1 $4,251,600 RP Lighting Roberts Park Parks $350,000 385 2016 NP Court Improvements North Park Parks $100,000 335 2016 Northwoods Rink Impry Northwoods Park Parks $20,000 265 2016 2016 Total l $470,000 RC Roof Replacement Recreation Center Parks $250,000 290 2017 Hangar Replacements Airport Public Works $400,000 240 2017 CA RC Parking Lot Civic Arena Parks $640,000 230 2017 2017 Total $1,290,000 Enterprise Facilities Creekside Outdoor Lighting Creekside Creekside $15,000 350 Tipping Building Interior Creekside Creekside $25,000 320 Creekside Air Handler Creekside Creekside $50,000 300 WW Solids Building Boiler Wastewater Plant Public Works $15,000 280 LH Roof Top Unit Liquor Hutch Liquor Hutch $20,000 280 WW Wall Packs Wastewater Plant Public Works $4,000 275 Controls Building Exterior Creekside Creekside $2,500 260 WTP Garage Roof Water Plant Public Works $10,000 225 Tip up joint replacement HATS Public Works $10,000 190 HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: Consideration for Approval of Airport Hangar Lease Department: PW /Eng LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: John Olson Agenda Item Type: Presenter: John Olson /Kent Exner Reviewed by Staff ❑ Consent Agenda Time Requested (Minutes): 0 License Contingency N/A Attachments: Yes BACKGROUND /EXPLANATION OFAGENDA ITEM: After 8 years of operations at Hutchinson Municipal Airport, Life Link III, a Helicopter Emergency Medical Service (HEMS), has terminated their lease at the airport. The last month of rental was for July, 2013. Subsequent to the vacation of the Life Link III hangar, the City was contacted by ASI Jet Ag Division (ASI), the company currently doing aircraft maintenance at the airport. ASI has experienced growth in their maintenance demand over the last 6 months and would like to utilize the hangar. This agreement will be effective beginning August 1, 2013 and will be effective on a month -to -month bases. Rent for the hangar will be at $915 per month, which meets the parameters set by the Airport Commission at their July meeting. Please note, the agreement includes a provision that no maintenance work (other than inspections, minor repairs to fuselage systems, and electronics) may be done in the hangar without the City's consent. This provision is included to ensure activities in the building comply with building codes. The agreement should be signed by both the Mayor and City Administrator. BOARD ACTION REQUESTED: Approval of Airport Hangar Lease with ASI Jet Ag Division Fiscal Impact: Funding Source: FTE Impact: Budget Change: No Included in current budget: Yes PROJECT SECTION: Total Project Cost: -$ 10,980.00 Total City Cost: -$ 10,980.00 Funding Source: Annualized REVENUE -Airport Remaining Cost: $ 0.00 Funding Source: LEASE AGREEMENT BETWEEN CITY OF HUTCHINSON AND ASI JETAG DIVISION This agreement, made this 1st day of August, 2013, by and between the CITY OF HUTCHINSON (the "City ") and ASI Jet Ag Division (the "tenant "), is for the purpose of outlining the rights and responsibilities of the parties to this Agreement. The parties to this Agreement do agree as follows: 1. Lease of airport property: The tenant leases from the City an aircraft hangar located at 1720 Butler Field Dr SW, Hutchinson, MN 55350. The hangar being further described on a map located at the City Public Works Department office. The hangar is situated upon the Hutchinson Municipal Airport, Butler Field, an airport owned by the City. The hangar is leased together with land and any improvements associated with it. The hangar is accepted in as -is condition. 2. Use of the airport: The tenant has the privilege of using public portions of the airport in common with other users. Use of the airport by the tenant is subject the rules and conditions as now exist or may be enacted in the future by the Federal, State or City governments. The tenant is subject to customary charges for such use as may be established from time to time by the Federal, State or City governments. 3. Term of this agreement: The terms of this agreement begin the date on which this agreement has been signed and approved by the City Council and shall continue month to month, until the agreement is modified by mutual consent, or until notice of termination is given in accordance with provisions herein. 4. Lease payments: The tenant agrees to pay to the City: A sum of $915 per month is payable no less than once per month. Lease payments shall include hangar space and any improvements associated with it. Lease payments shall not be refundable. The City reserves the right to negotiate or amend rates related to this lease. Revisions shall be reasonable and uniform as compared with other fees and rents charged at the City's airport. The City shall give lease rate revisions due regard to the value of the property leased, the improvements used, and the expense to the City of the tenant's operations. Revisions to rates shall be adopted by the City Council and be included in the City's fee schedule. 5. Municipal utilities: The tenant is required to remain connected to on -site natural gas, electric, water, sewer, waste treatment utilities and other municipal utilities. The tenant shall be responsible for paying the cost of said municipal utilities. r�reQ,&QA I ot� 6. Placement of improvements on leased property: A) The tenant agrees that any improvements made by the tenant shall be placed and maintained at no cost to the City. Permanent improvements shall only be made upon receipt of written permission from the City. In the event improvements are moved or fall into disrepair or disuse during the terms of this agreement, the City may terminate the lease without further obligation to the tenant. B) Improvements placed upon leased property shall be placed and maintained in compliance with applicable regulations. Improvements and any attachments and appurtenances thereto, excluding those on publicly accessible apron, ramps, parking areas, and driveways up to and associated with the improvement, shall be considered as being located entirely upon the premises. C) Tenant shall ensure that improvements conform to design standards described by the City. These design standards may include, but are not limited to, color, style, size, signs and placards, and other aesthetic requirements; as well as engineering requirements including, placement of improvements upon the lot, drainage considerations, apron or approach design standards, prescribed floor elevations, placement of utility services, and firewalls. Construction and significant improvements may not begin before receiving written authority from the City. D) The tenant shall obtain the necessary regulatory authority and permits from the City for placement of and modifications to the improvement. E) The City reserves the right to enter all areas of the airport, including areas occupied by the tenant for the purpose of inspections, to make repairs, to make improvements, or for any other reasonable purpose. The City will endeavor to, but need not, provide twenty four (24) hours prior notice to the tenant of such entry into space occupied by the tenant. The City shall maintain a master key for all doors at the airport. 7. Use and maintenance of leased property: A) The tenant, at the tenant's own cost and expense, shall take good care of the leased property and any facilities placed thereon. The tenant shall keep and maintain the property in good order and repair and in a clean and neat condition. Tenants shall not permit any waste or nuisance on the leased property nor permit anything on the leased property to interfere with the rights of other tenants of the City or users of the airport. In the event the property is not properly maintained, the City may, after notifying the tenant, cause the property to be maintained. The costs of maintenance and an administrative fee will be billed to the tenant and become their responsibility. Unpaid billings constitute a default. B) The tenant agrees that all aircraft mechanic work, other than inspections, minor repairs to the fuselage systems or electronics of any aircraft, shall be completed in the maintenance hangar, unless specific written approval is granted by the City. C) The hangar shall be used primarily for the storage of aircraft and for related aviation and business purposes. Approved uses of the hangar include aircraft, parts storage, and storage of aviation - related appurtenances. In addition to aircraft, aircraft - related items and items for business purposes, the tenant may store no more than three non - aircraft motorized vehicles in the hangar. Use of the hangar for purposes other than those described herein shall be described in writing and be approved by the City. Uses other than those described herein that are not approved by the City shall constitute a default on the tenant's part. The tenant may not store any property outside, except for property commonly stored outdoors, including but not limited to refuse containers, liquid petroleum tanks, etc., provided such property is properly secured. D) The cost for customary maintenance routinely performed by the City, related to areas affecting the value or use of leased properties are included in the lease costs charged for the property, including snow removal, grounds maintenance and maintenance of public apron areas. E) The City performs snow removal throughout the City on a priority basis. The City reserves the right to perform snow removal functions whenever, and in whatever manner, it deems necessary. The City intends to provide service up to a reasonable and safe distance from the tenant's premises. In any case, snow removal immediately adjacent to the tenant's premises is the tenant's responsibility. The City is not required to perform any snow removal function on leased property, but may plow snow on or adjacent to leased properties to expedite other snow removal operations at the airport. F) Mowing and weed control immediately adjacent to the tenant's premises are the tenant's responsibility. The City reserves the right to perform mowing and weed control functions whenever and in whatever manner it deems necessary. The City intends to provide service up to a reasonable and safe distance from the tenant's premises. The City may mow or perform weed control on or adjacent to leased properties to expedite other maintenance operations. G) The City shall establish the standards by which public apron, ramp areas, and other paved surfaces are maintained. The City intends to provide service up to a reasonable and safe distance from the tenant's premises. In any case, the tenant is responsible for maintaining ramp areas and other paved surfaces immediately adjacent to the tenant's premises. H) The tenant must allow the City to access the premises for the purpose of conducting maintenance activities and inspections of the premises to determine whether the tenant is complying with the provisions of this agreement. The occupant may be a party to any compliance inspection, and the City is required to notify the occupant, under Section 16 of this agreement, and make reasonable accommodation to the tenant before conducting compliance inspections. 8. Taxes, assessments, and other charges: A) In addition to other charges identified in this agreement, the tenant shall pay any taxes, assessments, licenses, fees, or other charges that may be levied or assessed upon the tenant's business, property or premises, or as a result of any activity of the tenant. If the City incurs costs on the tenant's behalf, those costs shall be billed to the tenant. Upon request by the City, the tenant shall provide proof of payment of such additional charges. 41 �W\&Q-a 1 da� B) The tenant shall establish their own accounts for utilities, and pay all rates and charges for any utility used or consumed in connection with or in the leased property during the term of this agreement and shall be subject to all city ordinances and policies regarding gas, water, wastewater, and electric service. The tenant shall install appropriate utility meters and pay billings for utility service prepared by the City, based upon rates paid to the utility service provider by the City. Upon request by the City, the tenant shall provide proof of such payment. C) In the event the tenant fails to pay the lease payments, taxes, assessments, fees, or other charges due, the City shall notify the tenant of the default. If the tenant fails to cure such default, the City shall have the right to terminate this lease in accordance with section 8 of this Agreement. 9. Termination provisions: A) Either party may terminate this lease upon notice to the other party, as provided for in Section 16 of this agreement. Termination of the lease shall take place no earlier than 30 days following the receipt of notice. B) At the termination of this lease the tenant has the privilege of removing property placed upon the leased lot by the tenant, including any permanent improvements that were previously approved by the City. The tenant shall obtain all required permits and regulatory authority. Tenant shall ensure site is restored in to a satisfactory condition, normal wear and tear being considered. The tenant shall have a period of ninety (90) days from the termination date to remove property. If the tenant does not remove the property within ninety (90) days, the City may retain ownership of the building and property for any municipal purpose or otherwise cause the property to be removed at the tenant's expense. C) If the leased premises becomes deserted, abandoned or vacated, the City may terminate the lease. If the tenant's interest in the property is taken by process of law, the City may terminate the lease. If the leased premises are destroyed, the City or tenant shall have the right to terminate this agreement upon giving written notice, with response, to the other party. D) Should the tenant default in the performance of any terms, conditions or covenants of this agreement not otherwise specified, and should the default continue for a period of more than thirty (30) days after the City serves the tenant with written notice, the City may terminate the lease. Serving the tenant with written notice includes reasonable attempts by the City to contact the tenant, and may include use of certified mail with return receipt and /or personal service. This may be done with or without terminating this agreement and without prejudice to any other remedy for lease payments or breach of covenant. In any such event the City may terminate this agreement by giving written notice of the termination. The rights and remedies given to the City are, and shall be deemed to be, cumulative, and the exercise of one shall not be deemed to be an election excluding the exercise by the City at any other or different time of a different or inconsistent remedy. Penalties described in the current approved version of Hutchinson Municipal Airport — Minimum Standards for Aeronautical Activity may also be imposed as described. E) Should the leased property be declared condemned, because the airport is closed to the public or the property is needed for another municipal purpose, the City shall provide the tenant with at least ninety - days (90 days) notice of such action. 4 30. Liability provisions: A) The tenant agrees to defend, indemnify and hold harmless, including reasonable attorneys' fees, the City and all its agents and employees from any and all claims, demands, actions or causes of action of whatever nature or for loss of or damage to property or injury to persons occurring on or about the above described premises arising out of or by reason of the execution or the performance of the services provided in accordance with this agreement. The City shall not be liable to any extent for, nor will the tenant make any claim against the City for nor on account of any injury, loss or damage resulting from the tenant's property or use thereof, including any claims by third parties. B) The tenant shall obtain and keep current a liability insurance policy with the City named as additional insured and shall be in a form acceptable to the City. Inability to keep a minimum of $1 million of insurance coverage shall be considered a default. C) The tenant shall obtain, and provide upon request verification of, all licensure requirements of the City of Hutchinson, County of McLeod, State of Minnesota and /or the United States Government to legally conduct operations at Hutchinson Municipal Airport and to comply with this agreement. 11. Transferring, subletting, selling: The tenant shall not transfer, sublet or sell any interest in this agreement or in the improvements located on leased property without first obtaining the written consent of the City. 12. Amendments: This agreement as it relates to items other than rental rates and improvements made by the City shall not be amended except by written document signed by all parties to this agreement. 13. Discrimination provision: The tenant, in the use of the Hutchinson Municipal Airport, shall not discriminate or permit discrimination against any person or group of persons on the grounds of race, color, or national origin or in any manner prohibited by Part 21 of the Regulations of the Office of the United States Secretary of Transportation, and the tenant further agrees to comply with any requirement made to enforce such regulation which may be demanded of the City by the United States Government under authority of said Part 21. 14. Laws, rules and regulations: The tenant shall abide by and conform with all laws, rules, and regulations, including future amendments thereto, controlling or in any manner affecting the tenant relative to the use or occupancy of the tenant. 15. Venue for causes of action: The laws of the State of Minnesota shall govern this lease and the venue for any causes of action shall be McLeod County, Minnesota. 16. Notices: All notices under this agreement shall be sent to the following addresses. Tenant is responsible for notifying the City of mailing address changes. If to the City: City of Hutchinson Airport Manager Hutchinson Municipal Airport — Butler Field 111 Hassan St SE Hutchinson, MN 55350 If to the tenant: Tim Ashenfelter, President ASI Jet Ag Division PO Box 44458 Eden Prairie, MN 55344 CITY OF HUTCHINSON: By: (Steven W. Cook, Mayor) Attest: (Jeremy J. Carter, City Administrator) Dated: TENANT: Dated: _ By: (Tenant) Tim Ashenfelter, President � WLQ-� LEASE AGREEMENT BETWEEN CITY OF HUTCHINSON AND ASI JET AG DIVISION This agreement, made this 1st day of August, 2013, by and between the CITY OF HUTCHINSON (the "City ") and ASI Jet Ag Division (the "tenant "), is for the purpose of outlining the rights and responsibilities of the parties to this Agreement. The parties to this Agreement do agree as follows: 1. Lease of airport property: The tenant leases from the City an aircraft hangar located at 1720 Butler Field Dr SW, Hutchinson, MN 55350. The hangar being further described on a map located at the City Public Works Department office. The hangar is situated upon the Hutchinson Municipal Airport, Butler Field, an airport owned by the City. The hangar is leased together with land and any improvements associated with it. The hangar is accepted in as -is condition. 2. Use of the airport: The tenant has the privilege of using public portions of the airport in common with other users. Use of the airport by the tenant is subject the rules and conditions as now exist or may be enacted in the future by the Federal, State or City governments. The tenant is subject to customary charges for such use as may be established from time to time by the Federal, State or City governments. 3. Term of this agreement: The terms of this agreement begin the date on which this agreement has been signed and approved by the City Council and shall continue month to month, until the agreement is modified by mutual consent, or until notice of termination is given in accordance with provisions herein. 4. Lease payments: The tenant agrees to pay to the City: A sum of $915 per month is payable no less than once per month. Lease payments shall include hangar space and any improvements associated with it. Lease payments shall not be refundable. The City reserves the right to negotiate or amend rates related to this lease. Revisions shall be reasonable and uniform as compared with other fees and rents charged at the City's airport. The City shall give lease rate revisions due regard to the value of the property leased, the improvements used, and the expense to the City of the tenant's operations. Revisions to rates shall be adopted by the City Council and be included in the City's fee schedule. S. Municipal utilities: The tenant is required to remain connected to on -site natural gas, electric, water, sewer, waste treatment utilities and other municipal utilities. The tenant shall be responsible for paying the cost of said municipal utilities. 6. Placement of improvements on leased property: A) The tenant agrees that any improvements made by the tenant shall be placed and maintained at no cost to the City. Permanent improvements shall only be made upon receipt of written permission from the City. In the event improvements are moved or fall into disrepair or disuse during the terms of this agreement, the City may terminate the lease without further obligation to the tenant. B) Improvements placed upon leased property shall be placed and maintained in compliance with applicable regulations. Improvements and any attachments and appurtenances thereto, excluding those on publicly accessible apron, ramps, parking areas, and driveways up to and associated with the improvement, shall be considered as being located entirely upon the premises. C) Tenant shall ensure that improvements conform to design standards described by the City. These design standards may include, but are not limited to, color, style, size, signs and placards, and other aesthetic requirements; as well as engineering requirements including, placement of improvements upon the lot, drainage considerations, apron or approach design standards, prescribed floor elevations, placement of utility services, and firewalls. Construction and significant improvements may not begin before receiving written authority from the City. D) The tenant shall obtain the necessary regulatory authority and permits from the City for placement of and modifications to the improvement. E) The City reserves the right to enter all areas of the airport, including areas occupied by the tenant for the purpose of inspections, to make repairs, to make improvements, or for any other reasonable purpose. The City will endeavor to, but need not, provide twenty four (24) hours prior notice to the tenant of such entry into space occupied by the tenant. The City shall maintain a master key for all doors at the airport. 7. Use and maintenance of leased property: A) The tenant, at the tenant's own cost and expense, shall take good care of the leased property and any facilities placed thereon. The tenant shall keep and maintain the property in good order and repair and in a clean and neat condition. Tenants shall not permit any waste or nuisance on the leased property nor permit anything on the leased property to interfere with the rights of other tenants of the City or users of the airport. In the event the property is not properly maintained, the City may, after notifying the tenant, cause the property to be maintained. The costs of maintenance and an administrative fee will be billed to the tenant and become their responsibility. Unpaid billings constitute a default. B) The tenant agrees that all aircraft mechanic work, other than inspections, minor repairs to the fuselage systems or electronics of any aircraft, shall be completed in the maintenance hangar, unless specific written approval is granted by the City. C) The hangar shall be used primarily for the storage of aircraft and for related aviation and business purposes. Approved uses of hangars include aircraft, parts storage, and storage of aviation - related appurtenances. In addition to aircraft, aircraft - related items and items for business purposes, the tenant may store no more than three non - aircraft motorized vehicles in hangars. Use of the hangar for purposes other than those described herein shall be described in writing and be approved by the City. Uses other than those described herein that are not approved by the City shall constitute a default on the tenant's part. The tenant may not store any property outside, except for property commonly stored outdoors, including but not limited to refuse containers, liquid petroleum tanks, etc., provided such property is properly secured. D) The cost for customary maintenance routinely performed by the City, related to areas affecting the value or use of leased properties are included in the lease costs charged for the property, including snow removal, grounds maintenance and maintenance of public apron areas. E) The City performs snow removal throughout the City on a priority basis. The City reserves the right to perform snow removal functions whenever, and in whatever manner, it deems necessary. The City intends to provide service up to a reasonable and safe distance from the tenant's premises. In any case, snow removal immediately adjacent to the tenant's premises is the tenant's responsibility. The City is not required to perform any snow removal function on leased property, but may plow snow on or adjacent to leased properties to expedite other snow removal operations at the airport. F) Mowing and weed control immediately adjacent to the tenant's premises are the tenant's responsibility. The City reserves the right to perform mowing and weed control functions whenever and in whatever manner it deems necessary. The City intends to provide service up to a reasonable and safe distance from the tenant's premises. The City may mow or perform weed control on or adjacent to leased properties to expedite other maintenance operations. G) The City shall establish the standards by which public apron, ramp areas, and other paved surfaces are maintained. The City intends to provide service up to a reasonable and safe distance from the tenant's premises. In any case, the tenant is responsible for maintaining ramp areas and other paved surfaces immediately adjacent to the tenant's premises. H) The tenant must allow the City to access the premises for the purpose of conducting maintenance activities and inspections of the premises to determine whether the tenant is complying with the provisions of this agreement. The occupant may be a party to any compliance inspection, and the City is required to notify the occupant, under Section 16 of this agreement, and make reasonable accommodation to the tenant before conducting compliance inspections. 8. Taxes, assessments, and other charges: A) In addition to other charges identified in this agreement, the tenant shall pay any taxes, assessments, licenses, fees, or other charges that may be levied or assessed upon the tenant's business, property or premises, or as a result of any activity of the tenant. If the City incurs costs on the tenant's behalf, those costs shall be billed to the tenant. Upon request by the City, the tenant shall provide proof of payment of such additional charges. B) The tenant shall establish their own accounts for utilities, and pay all rates and charges for any utility used or consumed in connection with or in the leased property during the term of this agreement and shall be subject to all city ordinances and policies regarding gas, water, wastewater, and electric service. The tenant shall install appropriate utility meters and pay billings for utility service prepared by the City, based upon rates paid to the utility service provider by the City. Upon request by the City, the tenant shall provide proof of such payment. C) In the event the tenant fails to pay the lease payments, taxes, assessments, fees, or other charges due, the City shall notify the tenant of the default. If the tenant fails to cure such default, the City shall have the right to terminate this lease in accordance with section 8 of this Agreement. 9. Termination provisions: A) Either party may terminate this lease upon notice to the other party, as provided for in Section 16 of this agreement. Termination of the lease shall take place no earlier than 30 days following the receipt of notice. B) At the termination of this lease the tenant has the privilege of removing property placed upon the leased lot by the tenant, including any permanent improvements that were previously approved by the City. The tenant shall obtain all required permits and regulatory authority. Tenant shall ensure site is restored in to a satisfactory condition, normal wear and tear being considered. The tenant shall have a period of ninety (90) days from the termination date to remove property. If the tenant does not remove the property within ninety (90) days, the City may retain ownership of the building and property for any municipal purpose or otherwise cause the property to be removed at the tenant's expense. C) If the leased premises becomes deserted, abandoned or vacated, the City may terminate the lease. If the tenant's interest in the property is taken by process of law, the City may terminate the lease. If the leased premises are destroyed, the City or tenant shall have the right to terminate this agreement upon giving written notice, with response, to the other party. D) Should the tenant default in the performance of any terms, conditions or covenants of this agreement not otherwise specified, and should the default continue for a period of more than thirty (30) days after the City serves the tenant with written notice, the City may terminate the lease. Serving the tenant with written notice includes reasonable attempts by the City to contact the tenant, and may include use of certified mail with return receipt and /or personal service. This may be done with or without terminating this agreement and without prejudice to any other remedy for lease payments or breach of covenant. In any such event the City may terminate this agreement by giving written notice of the termination. The rights and remedies given to the City are, and shall be deemed to be, cumulative, and the exercise of one shall not be deemed to be an election excluding the exercise by the City at any other or different time of a different or inconsistent remedy. Penalties described in the current approved version of Hutchinson Municipal Airport— Minimum Standards for Aeronautical Activity may also be imposed as described. E) Should the leased property be declared condemned, because the airport is closed to the public or the property is needed for another municipal purpose, the City shall provide the tenant with at least ninety - days (90 days) notice of such action. W 10. Liability provisions: A) The tenant agrees to defend, indemnify and hold harmless, including reasonable attorneys' fees, the City and all its agents and employees from any and all claims, demands, actions or causes of action of whatever nature or for loss of or damage to property or injury to persons occurring on or about the above described premises arising out of or by reason of the execution or the performance of the services provided in accordance with this agreement. The City shall not be liable to any extent for, nor will the tenant make any claim against the City for nor on account of any injury, loss or damage resulting from the tenant's property or use thereof, including any claims by third parties. B) The tenant shall obtain and keep current a liability insurance policy with the City named as additional insured and shall be in a form acceptable to the City. Inability to keep a minimum of $1 million of insurance coverage shall be considered a default. C) The tenant shall obtain, and provide upon request verification of, all licensure requirements of the City of Hutchinson, County of McLeod, State of Minnesota and /or the United States Government to legally conduct operations at Hutchinson Municipal Airport and to comply with this agreement. 11. Transferring, subletting, selling: The tenant shall not transfer, sublet or sell any interest in this agreement or in the improvements located on leased property without first obtaining the written consent of the City. 12. Amendments: This agreement as it relates to items other than rental rates and improvements made by the City shall not be amended except by written document signed by all parties to this agreement. 13. Discrimination provision: The tenant, in the use of the Hutchinson Municipal Airport, shall not discriminate or permit discrimination against any person or group of persons on the grounds of race, color, or national origin or in any manner prohibited by Part 21 of the Regulations of the Office of the United States Secretary of Transportation, and the tenant further agrees to comply with any requirement made to enforce such regulation which may be demanded of the City by the United States Government under authority of said Part 21. 14. Laws, rules and regulations: The tenant shall abide by and conform with all laws, rules, and regulations, including future amendments thereto, controlling or in any manner affecting the tenant relative to the use or occupancy of the tenant. 15. Venue for causes of action: The laws of the State of Minnesota shall govern this lease and the venue for any causes of action shall be McLeod County, Minnesota. 16. Notices: All notices under this agreement shall be sent to the following addresses. Tenant is responsible for notifying the City of mailing address changes. If to the City: City of Hutchinson Airport Manager Hutchinson Municipal Airport— Butler Field 111 Hassan St SE Hutchinson, MN 55350 If to the tenant: Tim Ashenfelter, President ASI Jet Ag Division PO Box 44458 Eden Prairie, MN 55344 CITY OF HUTCHINSON: Bv: (Steven W. Cook, Mayor) Attest: (Jeremy J. Carter, City Administrator) TENANT: Bv: Tim Ashenfelter, President (Tenant) Dated: Dated: HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: Consideration of Charter Commission Amendments Department: Administration LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Marc Sebora Agenda Item Type: Presenter: Marc Sebora Reviewed by Staff ❑ Unfinished Business Time Requested (Minutes): 10 License Contingency N/A Attachments: No BACKGROUND /EXPLANATION OFAGENDA ITEM: The City Council reviewed and discussed this item at the last City Council meeting. State law requires that these amendments be approved by all Council Members. Because Council Member Czmowski was absent, this item is being considered at the August 27, 2013, City Council meeting. The changes reviewed pertain to Section 5.02 — Petitions and Section 13.03 — Official Bonds. First, with regard to Section 5.02 — Petitions. The current City Charter requires that in order for an initiative, referendum or recall to be initiated, a petition signed by registered voters of the City equal in number to 20 percent of those who voted for mayor in the last preceding city election must be obtained. Upon research and discussion of the Charter Commission, the Commission unanimously voted to amend the petition requirement to be 10 percent of those who voted in the last City election. The Commission expressed that this amount coincides with other similar size communities' requirements. The Commission also expressed that 20 percent is a much higher percentage than other petition requirements. Therefore, the Charter Commission hereby recommends that Section 5.02 of the Hutchinson City Charter be amended to require signatures in the amount of 10% of total votes of the last regular City election be required for initiatives, referendums or recalls. Section 5.02 is being recommended to be amended as shown on the attachment. Second, with regard to Section 13.03 — Official Bonds. Current City Charter requires that the mayor, city administrator and other officers or employees of the city give a corporate surety bond to the City. The bond may be either individual or blanket. The Charter Commission learned from the City Attorney that the City has blanket bond coverage through its insurance trust and therefore does not require the mayor, city administrator or other employees or officers to provide a corporate surety bond. The Charter Commission discussed that the Charter should be amended to reflect current practice of the City. Therefore, the Charter Commission unanimously voted to amend language in Section 13.03 as shown on the attachment. BOARD ACTION REQUESTED: Accept recommendations of Charter Commission for City Charter amendments and set second reading and adoption of Ordinance No. 13 -0715 for September 10, 2013. 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: Ordinance No. 13 -715 Publication No. AN ORDINANCE ADOPTING REVISIONS TO SECTIONS 5.02 AND 13.03 OF HUTCHINSON CITY CHARTER WHEREAS, the Hutchinson Charter Commission met on April 15, 2013, and June 24, 2013, to review sections of the City Charter for updating or amending; and, WHEREAS, the Hutchinson Charter Commission voted unanimously for revisions to be made to Section 5.02 to decrease the petition requirement from 20% of those who voted for mayor in the last preceding city election to 10% of total votes cast in the last regular city election; and, WHEREAS, the Hutchinson Charter Commission voted unanimously for revisions to be made to Section 13.03 clarifying language that certain officers of the City be covered by a surety bond from the City; and, WHEREAS, Minnesota Statute 410.12, Subd. 7, allows Charter changes to be made by ordinance, NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF HUTCHINSON, THAT Sections 5.02 and 13.03 of the Hutchinson City Charter as attached hereto are hereby revised and these changes to the City Charter will take effect 90 days from adoption of this ordinance. Adopted by the City Council this 27th day of August, 2013. Attest: Jeremy J. Carter, City Administrator Steven W. Cook, Mayor Section 5.02. PETITIONS. An initiative, referendum or recall, shall be initiated by a petition signed by registered voters of the City equal in number to 2-0 10 percent of then„ W -he Veted f r merye total votes cast in the last pfeeediiig regular city election. Each petition shall be sponsored by a committee of five registered voters whose names and addresses shall appear on the petition. A petition may consist of one or more papers, but each paper circulated separately shall contain at its head or attached to it the statement required by Sections 5.06, 5.07 or 5.08, as the case may be. The signature and street address of each signer shall appear on the petition. Each separate page of the petition shall have appended to it a certificate, verified by oath, that each signature is the genuine signature of the person whose name it purports to be. The person making the certificate shall be a resident of the City. Any person whose name appears on a petition may withdraw such name by a statement in writing filed with the city administrator before the city administrator advises the council of the sufficiency of the petition. Section 13.03. OFFICIAL BONDS. The mayor, city administrator, and such other officers or employees of the city as may be specified by ordinance shall each, before entering upon the duties of their respective offices or employment, be covered by a surety bond to from the City in such form and amount as may be fixed by the council. Such bonds may be either individual or blanket bonds in the discretion of the council. They shall be approved by the city council, and approved as to form by the city attorney, and filed with the city administrator. The provisions of state laws relating to official bonds not inconsistent with this charter shall be complied with. The premiums on such bonds shall be paid by the city. HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action WZ 7AL =- Agenda Item: Setting the Date for the Annual City Recognition Event /Set Public Meeting Department: Administration LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Brenda Ewing Agenda Item Type: Presenter: Brenda Ewing Reviewed by Staff ❑ New Business Time Requested (Minutes): 5 License Contingency N/A Attachments: No BACKGROUND /EXPLANATION OFAGENDA ITEM: On an annual basis, the City conducts an event to recognize the employees and volunteers who serve the City of Hutchinson. This event is normally held in the fall of the year at the Hutchinson Event Center. The format for the event is a social time at 5:30 p.m. followed by a dinner and a short presentation /program at 6:30 p.m. to acknowledge and to thank the volunteers. Volunteers and adult guests attending are provided with a complimentary meal and two beverage tickets. The dates that are available for the event are as follows: Thursday, September 19, 2013 Thursday, September 26, 2013 Thursday, October 3, 2013 Thursday October 24, 2013 BOARD ACTION REQUESTED: Setting the date for the annual City Recognition Event and setting the event as a public meeting from 5:30 to 9:00 p.m. at the Hutchinson Event Center for the Council members to attend. Fiscal Impact: $ 2,000.00 Funding Source: City Council Budget FTE Impact: Budget Change: No Included in current budget: Yes PROJECT SECTION: Total Project Cost: Total City Cost: Funding Source: Remaining Cost: $ 0.00 Funding Source: HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: An ordinance pertaining to the payment of charter change petitioners Department: Legal LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Marc Sebora Agenda Item Type: Presenter: Marc Sebora Reviewed by Staff ✓❑ New Business Time Requested (Minutes): 10 License Contingency N/A Attachments: Yes BACKGROUND /EXPLANATION OFAGENDA ITEM: At its August 13, 2013, meeting the City Council discussed the possibility of enacting an ordinance that would make it illegal for people circulating a petition for charter and ordinance changes or for the recall of elected officials to accept money for circulating the petition or to offer money to other people for circulating the petition. As expressed at the August 13 meeting, the central idea behind this proposed ordinance is that charter or ordinance changes by way of an initiative or referendum or a recall of a public official should be the result of grass -roots efforts by concerned citizens of Hutchinson who are attempting to enact an ordinance change through a genuine concern for the legislative change - not for monetary profit. BOARD ACTION REQUESTED: Approve the ordinance and set the second reading on for September10, 2013 Fiscal Impact: $ 0.00 Funding Source: N/A 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: Ordinance No. 13 -716 Publication No. AN ORDINANCE ADOPTING SECTIONS 30.16 — EXPENDITURES BY PETITIONERS The City Council hereby ordains: 30.16 EXPENDITURES BY PETITIONERS. No member of any initiative, referendum, or recall committee, no person circulating a paper for signatures, and no signer of any such paper, or any other person, can accept or offer any pecuniary or other reward for service rendered in connection with the circulation. This does not prevent the committee from paying for legal services and from incurring necessary expenses, including, but not limited to, stationery, copying, printing, advertising, and notary fees. A violation of this section is a misdemeanor. HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: An ordinance amending the City's consumption and display ordinance Department: administration /legal LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Marc Sebora Agenda Item Type: Presenter: Marc Sebora Reviewed by Staff ✓❑ New Business Time Requested (Minutes): 10 License Contingency N/A Attachments: Yes BACKGROUND /EXPLANATION OFAGENDA ITEM: The city has been contacted by an individual with a unique business idea that wishes to start a business in the downtown area of Hutchinson. The business owner wishes to allow wine on the premises, but before making the investment for the provision of meals on the premises which is required for the sale of wine, the business owner wishes to determine the viability of their unique business idea. Under state and local law, the holder of a 3.2% malt liquor license can also apply for a permit for the consumption and display of alcohol ( sometimes known as a set- up permit) on the licensed premises. Under our current consumption and display ordinance, a person is only entitled to a consumption and display (set -up) permit if they had a consumption display permit or some other liquor license prior to January 1, 1985 - so new businesses are not eligible for a consumption and display permit as the ordinance currently stands. The owner of the proposed new business would like the consumption and display ordinance changed to eliminate the date restriction so that the business would be eligible for a consumption and display permit and therefore wine would be allowed to be consumed on the premises. If the ordinance is changed, the business owner will be applying for a 3.2% malt liquor license which would then let the business be eligible for the consumption and display (set — up) permit. Attached for your consideration then is a proposed ordinance eliminating the date restriction for consumption and display permits and listing those establishments that are eligible as currently listed under state law. BOARD ACTION REQUESTED: Approve first reading of the ordinance and set the 2nd reading and adoption on for September 10, 2013. Fiscal Impact: $ 0.00 Funding Source: N/A 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: Ordinance No. 13 -717 Publication No. AN ORDINANCE AMENDING HUTCHINSON CITY CODE SECTION 112.121 — CONSUMPTION AND DISPLAY - RESTRICTIONS AND REGULATIONS § 112.121 RESTRICTIONS AND REGULATIONS. (A) Eligible licensees. , heeiises may be isstied jafmafy 1, . Consumption and displU permits may be issued only (1) an applicant who has not, within five .prior to the application, been convicted of a felony or of violating any provision of this chapter or rule adopted under this chapter; (2) a restaurant, 3 a hotel, (4) an establishment licensed for the sale of 3.2 percent malt liquor; a resort as defined in section Minnesota Statute 157.15_ a club as defined in section Minnesota Statute 340A.101 _ subdivision 7. or an unincorporated club otherwise meeting that definition, and (7) a bed and breakfast facility as defined in section Minnesota Statute 340A.4011, mnhclivisinn 1 (b) A consumption and display permit may not be issued to a club holding an on -sale intoxicating liquor license. If the license issued under this section is cancelled, suspended or revoked or allowed to lapse, for whatever reason, no renewal or reissuance of the annual license under this section will be permitted. (B) Application. Application for a license under this section shall be made at least ten days in advance of the effective date for the license, and the application shall be referred to the Chief of Police, who will make an investigation to determine whether issuance of the license would cause a nuisance to any adjoining property owners, or if the license should be denied for any other reason. (C) Unlawful act. It is unlawful to sell liquor on licensed premises. (D) License expiration. In order to coordinate the expiration of a consumption and display license with a state permit, all licenses shall expire on 3m3e 30 March 31 of each year. (E) State permit required. Licenses shall be issued only to holders of a consumption and display permit from the Commissioner. (F) Lockers. A club to which a license is issued under this section may allow members to bring and keep a personal supply of liquor in lockers on the club's premises. All bottles kept on the premises must have attached labels signed by the member. No minor may keep a supply of liquor on club premises. (G) Hours and days. No licensee may permit a person to consume or display liquor, and no person may consume or display liquor, between 1:00 a.m. and 10:00 a.m. on Sundays, or between 1:00 a.m. and 8:00 a.m. on Monday through Saturday. ('89 Code, § 5.70) (Am. Ord. 97 -213, passed 11- 25 -97) Penalty, see § 10.99 HUTCHINSON CITY COUNCIL Ci =q�f�� Request for Board Action 7AL Agenda Item: Consideration for approval setting council workshop on September 24th Department: Administration LICENSE SECTION Meeting Date: 8/27/2013 Application Complete N/A Contact: Jeremy Carter Agenda Item Type: Presenter: Jeremy Carter Reviewed by Staff ❑ New Business Time Requested (Minutes): 5 License Contingency N/A Attachments: No BACKGROUND /EXPLANATION OFAGENDA ITEM: At the previous outdoor aquatic pool workshop held on March 26th, 2013 there was discussion about exploring the cost and various lay -out designs of an outdoor pool that could fit the area adjacent to the Recreational Building and currently the location of the existing pool. Staff has had a feasibility study done by USAquatics a vendor that specializes in aquatic pool design and construction. Part of the feasibility study encompassed four areas: 1) cost estimates to improve the current existing pool, which entails making it compliant with existing regulations, 2) improving the existing pool facility and adding on amenities, 3) removing the old pool facility and replacing it with a new pool facility and 4) reviewing and discussing cost estimates to build a multi - facility complex that would house not only an indoor pool area but other amenities. At the September 24th workshop staff would like to review a preliminary lay -out design, discuss operation and construction cost estimates, funding options or alternatives, review various research and analysis collected and determine the next course of action, time frames and the future process, which could include stakeholder meetings, specific decision points and further funding scenarios. Please consider setting September 24th as a council workshop to continue the conversation on improving or replacing the outdoor pool. If there are any questions please let me know. Thanks BOARD ACTION REQUESTED: Approval setting a council workshop for Tuesday September 24th at 4pm. Fiscal Impact: $ 0.00 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: Resource Allocation Committee August 6, 2013 4:00 PM Hutchinson City Center Attendees: Steve Cook, Mary Christensen, Jeremy Carter, Andy Reid, Kent Exner (Committee Members) Dolf Moon, Dan Jochum, Lee Miller (Contributing Participants) Meeting Minutes 1. Historic Street Name Signs — review costs, scope and implementation Kent E. reviewed the most recent cost estimates (approximately $22,000 - $26,000 depending on vendor) for the installation of historic street name signs within the downtown area. RAC members discussed the potential phased implementation of the signs and possibly increasing the current scope to include the entire area of the Hutchinson/Harmony plats. At this point, delivery/installation of the signs prior to winter does not seem feasible, so City staff may order manufacturer prototypes, seek references /information from other cities and determine if installation of all street name signs at an intersection is possible on one post. RAC members also discussed the possibility of installing an informational kiosk that could show the original Hutchinson/Harmony plat street names in comparison to the existing street naming convention. 2. City Origin- Destination Study — review proposal scope and associated cost Kent E. reviewed a proposal from SRF Consulting Group to administer an origin- destination study to determine traffic patterns within and immediately around Hutchinson. This study's data/conclusions will ultimately be used to analyze and consider transportation improvements to areas /corridors such as TH 15 through downtown, the northeast ring road, TH 15 south, School Road south and others. SIZE will completed this effort for the not -to- exceed fee amount of $37,000 (to be funded with annual planning project fees). Due to this study generating information relative to their respective transportation networks, MnDOT and McLeod County have been asked by City staff to make a financial contribution to this effort. RAC members approved of this study and suggested that this item be mentioned to the City Council prior to the City Administrator's approval. 3. 2nd Avenue SE Bridge Feasibility Study — review proposal scope and associated cost - Kent E. reviewed a proposal from Erickson Engineering Co. to administer a feasibility study to determine improvement/replacement options for the 2nd Avenue SE bridge. This study's conclusions /recommendations will ultimately be used to analyze and consider a future improvement project to address the City's needs /objectives for this bridge. Erickson will complete this effort for the not -to- exceed fee amount of $3,500 (to be funded with annual planning project fees). RAC members approved of this study with input regarding potentially providing further options and suggested that this item be mentioned to the City Council prior to the City Administrator's approval. 4. TH 15 — Downtown Area Feasibility Study — review proposal scope and associated cost - Kent E. reviewed a proposal from Short Elliott Hendrickson Inc. (SEH) to administer a feasibility report to provide an overview of issues, design recommendations and conclusions, and estimated costs for the complete reconstruction of TH 15/Main Street through the downtown area (2nd Ave. N to 5th Ave. S). This study's data/conclusions will ultimately be used to analyze and consider transportation, utility and streetscape improvements to within this potential project area. SEH will complete this effort for the not -to- exceed fee amount of $39,000 (to be funded with annual planning project fees). RAC members approved of this effort and suggested that this item be mentioned to the City Council prior to the City Administrator's approval. 5. Community Asset Directional Signage — review concept and potential scope /cost - Kent E. reviewed a concept that Dan I has been researching that would entail the installation of uniform signage (primarily along major roadwary corridors) to direct the traveling public to community related destinations. The City of Montevideo implemented this approach a few years ago and have been contacted to determine what process was necessary to satisfy MnDOT's requirements. At this point, RAC members were asked to provide locations that could potentially be identified by these signs. 6. Complete Streets Policy — review approach and associated effort/cost - Kent E. reviewed the possibility of administering the development of a City complete streets policy. The necessary steps and approach to adequately address this effort were outlined within the recent City Transportation Plan document. Following a brief discussion, RAC members agreed that utilizing a third -party to complete this work would be appropriate and that the possibility of engaging the assistance of the Mid - Minnesota Development Commission should be examined. 7. Other Discussion CITY OF HUTCHINSON Financial Report - GENERAL FUND For the month of July, 2013 SUMMARY FINANCIAL STATEMENT: Category 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD Jul y 2012 Approved Budget % Used REVENUES: 4005 Taxes & Penalties - 2,280,855 4,491,446 2,210,591 50.8% 2,301,076 4,491,446 51.2% 4050 Licenses 637 39,374 53,500 (14,126) 73.6% 51,748 53,500 96.7% 4070 Permits 35,636 110,654 168,925 (58,271) 65.5% 106,633 158,950 67.1% 4100 Intergovernmental 751,871 877,452 1,215,663 338,211 72.2% 922,676 1,269,711 72.7% 4250 Charges for Services 111,853 825,879 1,855,706 1,029,827 44.5% 881,296 1,852,400 47.6% 4400 Fines & Forfeitures 4,374 36,637 45,000 8,363 81.4% 32,681 45,000 72.6% 4620 Investment Earnings 15,335 4,316 50,000 (45,684) 8.6% (16,922) 35,000 - 48.3% 4700 Reimbursements 62,706 350,673 438,752 88,079 79.9% 251,743 407,152 61.8% 4800 Transfers 336,961 782,072 2,170,346 1,388,274 36.0% 752,007 2,090,376 36.0% 4890 Surcharge (179) 1,902 350 1,552 543.4% 4,054 350 1158.2% 4998 1 Fund Balance - - 6,250 6,250 0.0% - 10,000 0.0% TOTAL REVENUES 1,319,196 5,309,813 10,495,938 5,186,125 50.6% 5,286,993 10,413,885 50.8% EXPENDITURES: 6105 Salaries & Fringe Benefits 674,392 3,885,403 6,778,616 2,893,213 57.3% 3,771,729 6,633,597 56.9% 6200 Supplies, Repairs, Maint. 63,095 426,598 783,840 357,242 54.4% 484,101 790,835 61.2% 6300 Contracted Services 31,590 219,196 462,233 243,037 47.4% 230,586 462,442 49.9% 6306 Services & Charges 240,531 1,119,372 2,162,199 1,042,827 51.8% 1,168,619 2,155,664 54.2% 6700 Transfers - 48,618 95,486 46,868 50.9% 46,825 92,750 50.5% 6900 Misc. Expenses 21,416 161,201 213,564 52,363 75.5% 144,633 278,597 51.9% 7000 Capital Outlay - 6,960 - (6,960) 100.0% 1,420 - 100.0% TOTAL EXPENDITURES 1,031,024 5 867 349 10,495,938 4,628,589 55.9% 5 847 911 10,413,885 56.2% TOTAL REVENUE OVER UNDER EXPENDITURES 288,172 (557,536) (557,536) 100.0% (560,919) 100.0% COMMENTS: REVENUES: Intergovernmental We received the first half LGA payment in July, with $722,000 being allocated to the General Fund and the remainder to the Capital Projects fund. YTD 2013 revenue is down from last year due to the one -time FEMA reimbursement received in 2012 related to the July 2011 storm damage; $66,844. Charges for Services This revenue category is down from last year due to a change in timing of the hockey association's payments for ice time. In prior years we received a significant payment in the spring with final payment in December /January. Starting in 2013, payments will be made in October and December each year, matching up more closely with the hockey association's registration dates. Reimbursements YTD 2013 revenue is higher than last year due to the timing of HUC's reimbursement for HR, Legal and IT services. EXPENDITURES: Total expenditures are tracking 2.4% below budget through July with only a slight increase over last year of $19,437, or 0.3 %. Services & Charges This expense category is down from last year primarily due the savings realized when the Police Department went from LOGIS to the LETG system. EXPENDITURES BY DEPARTMENT: Department 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD Jul y 2012 Approved Budget % Used Mayor & City Council 3,661 22,061 52,016 29,955 42.4% 20,196 53,814 37.5% City Administrator 41,449 235,924 387,401 151,477 60.9% 214,735 380,851 56.4% Elections - 602 10,000 9,398 6.0% 3,982 16,000 24.9% Finance Department 43,729 221,554 371,863 150,309 59.6% 224,475 364,529 61.6% Motor Vehicle 30,980 180,447 275,413 94,966 65.5% 167,052 271,910 61.4% Assessing - - 61,911 61,911 - 61,911 Legal 25,957 136,733 252,067 115,334 54.2% 126,454 233,181 54.2% Planning 14,407 84,363 123,210 38,847 68.5% 85,141 117,320 72.6% Information Services 37,018 291,626 499,332 207,706 58.4% 224,810 452,687 49.7% Police Department 250,229 1,643,651 2,889,291 1,245,640 56.9% 1,707,824 2,989,966 57.1% Emergency Management 4,217 15,812 13,000 (2,812) 121.6% 11,136 13,025 85.5% Safety Committee - 7,970 13,450 5,480 59.3% 7,726 13,450 57.4% Fire Department 30,972 182,851 309,187 126,336 59.1% 184,961 296,805 62.3% Protective Inspections 19,009 110,797 208,350 97,553 53.2% 90,773 206,188 44.0% Engineering 51,158 300,933 465,756 164,823 64.6% 279,811 457,614 61.1% Streets & Alleys 195,785 787,953 1,369,738 581,785 57.5% 828,335 1,308,421 63.3% City Hall Building 9,393 55,126 121,096 65,970 45.5% 68,866 121,698 56.6% Park/Recreation Administration 20,016 127,192 213,127 85,935 59.7% 119,779 215,295 55.6% Recreation 23,493 149,447 217,610 68,163 68.7% 153,153 217,894 70.3% Senior Citizen Center 3,198 43,832 69,749 25,917 62.8% 39,599 67,635 58.5% Civic Arena 27,784 205,492 331,469 125,977 62.0% 182,623 326,765 55.9% Park Department 103,711 471,231 757,260 286,029 62.2% 459,570 721,981 63.7% Recreation Building & Pool 39,592 120,617 185,885 65,268 64.9% 131,938 187,760 70.3% Events Center 16,023 114,613 213,650 99,037 53.6% 110,780 231,225 47.9% Evergreen Building 1,743 10,398 11,880 1,482 87.5% 6,066 12,305 49.3% Library 4,305 99,927 190,937 91,010 52.3% 95,218 183,970 51.8% Cemetery 11,345 46,640 109,104 62,464 42.7% 55,133 108,400 50.9% Airport 11,273 45,698 99,700 54,002 45.8% 49,765 100,235 49.6% Revenue Department - - - - - 50,000 Unallocated General Expense 10,578 153,858 672,486 518,628 22.9% 198,012 631,050 31.4% TOTAL EXPENDITURES 1,031,024 5 867 349 10,495,938 41628,589 55.9% 5,847,911 10 413 885 56.2% Fund: Liquor Category 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD July 2012 Approved Budget % Used REVENUES: Wine 493,016 452,614 8.9% Beer 1,501,397 1,539,818 -2.5% 4450 Sales - Liquor 161,767 984,876 1,803,150 818 274 54.6% 979,423 1,705,453 57.4% 4450 Sales - Wine 93,976 493,016 898,430 (405,414) 54.9% 452,614 852,364 53.1% 4450 Sales - Beer 290,791 1,501,397 2 709 500 (1,208,103) 55.4% 1,539,818 2 601 267 59.2% 4450 Sales - Other (7,684) 1 498 14,470 (12,972) 10.4% 13,372 21,142 63.2% 4620 Investment Earnings 106 645 1,000 355 64.5% 1,043 1,000 104.3% 4700 Reimbursements 21 3,025 2,000 1,025 151.2% 2,211 2,000 110.6% 4998 lFund Balance - - - - 0.0% - - 0.0% TOTAL REVENUES 538,977 2,984,458 5,428,550 2,444,092 55.0% 2,988,481 5,183,226 57.7% Gross Margin % EXPENDITURES: 130,975 24.3% 731,205 24.5% 1,309,853 24.1% (578,648) 55.8% 722,717 24.2% 1,248,158 24.1% 57.9% 6800 Cost of Sales 407,875 21249,583 4 115 697 1,866,114 54.7% 2,262,510 3 932 068 57.5% 6105 Salaries & Fringe Benefits 46,803 280,551 488,190 207,639 57.5% 272,158 436,850 62.3% 6200 Supplies, Repairs, Maint. 1,158 10,779 16,600 5,821 64.9% 7,109 16,600 42.8% 6306 Services & Charges 19,866 112,776 196,750 83,974 57.3% 101,824 186,500 54.6% 6600 Debt Service - - 128,295 128,295 0.0% - 128,035 0.0% 6700 Transfers - - 435,000 435,000 0.0% - 420,000 0.0% 6898 Depreciation - - 70,940 70,940 0.0% - 77,671 0.0% 6900 JMisc. Expenses - 4,869 3 650 (1,219) 133.4% 7,599 3,650 208.2% 7000 lCapital Outlay - 14,098 31,000 16,902 45.5% - - 0.0% TOTAL EXPENDITURES 475,703 2,672,656 5,486,122 2,8133466 48.7% 236513200 532013374 51.0% TOTAL REVENUE OVER UNDER EXPENDITURES 63,274, 311,801 (57,572)1 369,373 - 541.6% 337,281 (18,148)1 - 1858.5% COMMENTS: REVENUES: Sales (u) - - - - (u) - Total 2013 sales are nearly flat from last year with beer sales lagging 2.5 %. The YTD customer count is down nearly 3 %. July YTD YTD 2013 Sales: 2013 2012 Change Liquor 984,876 979,423 0.6% Wine 493,016 452,614 8.9% Beer 1,501,397 1,539,818 -2.5% Other 1,498 13,372 -88.8% Total Sales 2,980,788 2,985,226 -0.1% YTD Customer Count 124,766 128,539 -2.9% Average Sale per Customer $ 23.89 $ 23.22 2.9% July July 2013 2012 Change 161,767 155,797 3.8% 93,976 76,725 22.5% 290,791 269,936 7.7% (7,684) (2,117) 263.0% 538,851 500,342 7.7% 21,291 20,506 3.8% $ 25.31 $ 24.40 3.7% EXPENDITURES: Supplies, Repairs, Maint. YTD 2013 expense includes the scheduled replacement of 5 computers; $3,292. Capital Outlay We spent $7,823 to replace the interior and exterior light fixtures with more efficient LED fixtures. The cooler liqhtinq fixtures were also replaced at a cost of $6,275. Fund: Compost Category 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD July 2012 Approved Budget % Used REVENUES: 4250 Charges for Services 55,654 65,969 129,000 (63,031) 51.1% 112,223 132,000 85.0% 4450 Sales - Bulk Product 31,276 134,915 200,000 (65,085) 67.5% 140,801 145,000 97.1% 4450 Sales - Bagged Product 135,347 2,046,759 1 982 500 64,259 103.2% 1,715,440 1 759 629 97.5% 4450 Sales - Other 7,402 85 498 52,250 33 248 163.6% 67,664 66 000 102.5% 4620 Investment Earnings 2,118 238 2,500 2 738 -9.5% (1,949) - 100.0% 4700 Reimbursements - 486 1,000 514 48.6% 852 1,000 85.2% 4998 lFund Balance - - - - 0.0% - - 0.0% TOTAL REVENUES 231,797 2,333,390 2,367,250 33,860 98.6% 2,035,031 2,103,629 96.7% Gross Margin % EXPENDITURES: (29,245) -16.8% 502,785 22.2% 682,700 30.5% (179,915) 73.6% 589,198 30.6% 769,686 39.1% 76.6% 6800 Cost of Sales 203,270 11764,388 1 552 050 (212,338) 113.7% 1,334,706 1 200 943 111.1% 6105 Salaries & Fringe Benefits 48,861 159,200 530,035 370 835 30.0% 292,279 523,605 55.8% 6200 Supplies, Repairs, Maint. 10,790 13,561 25,700 12,139 52.8% (7,264) 24,350 -29.8% 6300 Contracted Services - 1,213 5,000 3,788 24.3% 13,432 13,000 103.3% 6306 Services & Charges 18,391 48,574 95,100 46,526 51.1% 43,897 117,800 37.3% 6700 Transfers - - 90,775 90,775 0.0% - 57 800 0.0% 6898 1 Depreciation (7,500) (66,918) 56,680, 123,598 - 118.1% (54,429) 70,290 - 77.4% 6900 IMisc. Expenses 2,352 6 474 14,340 7 866 45.1% 11,917 8,500 140.2% 7000 lCapital Outlay 100,753 112,444 10,833 (101,611) 1038.0% - 125,000 0.0% TOTAL EXPENDITURES 376,918 2,038,935 2,380,513 341,578 85.7% 1,634,538 2,141,288 76.3% TOTAL REVENUE OVER UNDER EXPENDITURES (145,121)1 294,455, 13 263 307,718 - 2220.1% 400,493, 37 659 - 1063.5% COMMENTS: REVENUES: Charges for Services 2012 activity includes the sale of the debagger to St. Cloud; $45,000. Sales After a slow start to the season, the months of May through July saw 480,000 more bags shipped than in 2012, bringing YTD 2013 shipped bags to a 27% increase over YTD 2012. YTD YTD July July Sales: 2013 2012 Change % 2013 2012 Change % Bagged (# of bags) 1,886,589 1,484,130 402,459 27.1% 143,217 61,831 81,386 131.6% Bulk (yards) 9,566 11,409 (1,843) - 16.2% 2,185 2,234 (49) -2.2% EXPENDITURES: Capital Outlay Payment was made in July for the new wheel loader approved by council on March 26th; $100,753. This was an unplanned purchase due to a major mechanical failure on a 10 year old loader that was budgeted for replacement in 2014. We also made improvements to the baooino line as budgeted: $11.691. Fund: Refuse Category 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD July 2012 Approved Budget % Used REVENUES: 4100 Intergovernmental - 2,216 12,500 (10,284) 17.7% - 26,000 0.0% 4250 Charges for Services - - - - 0.0% - - 0.0% 4450 Sales 95,119 659,983 1,145,150 485 167 57.6% 660,623 1,143,100 57.8% 4620 Investment Earnings 3,090 909 2,500 (1,591) 36.4% (2,836) - 100.0% 4700 Reimbursements - - - - 0.0% - - 0.0% 4998 Fund Balance - - - - 0.0% - - 0.0% TOTAL REVENUES 98,209 663 109 1,160,150 497 041 57.2% 657,787 1,169,100 56.3% EXPENDITURES: 6800 Cost of Sales - - - - 0.0% - 5,000 0.0% 6105 Salaries & Fringe Benefits 17,769 105,465 172,065 66,600 61.3% 102,833 148,420 69.3% 6200 Supplies, Repairs, Maint. 16,849 38,455 61,700 23,245 62.3% 12,032 68,700 17.5% 6300 Contracted Services 2,124 8,003 10,500 2,497 76.2% 5,817 15,000 38.8% 6306 Services & Charges 53,610 330,348 677,125 346,777 48.8% 370,283 658,417 56.2% 6600 Debt Service - 1,809 24,261 22,452 7.5% - - 0.0% 6700 Transfers - - 55,000 55,000 0.0% - 55,000 0.0% 6898 Depreciation - - 132,510 132,510 0.0% - 163,073 0.0% 6900 Misc. Expenses - 54 - 54 100.0% 111 - 100.0% 7000 Capital Outlay - 38,952 31,930 (7,022) 122.0% - - 0.0% TOTAL EXPENDITURES 90,353 523,086 1,165,091 642,005 44.9% 491,076 1,113,610 44.1% TOTAL REVENUE OVER UNDER EXPENDITURES 7,856 140,023 4 941 __L44,964 -2833.9%1 166,711 55,490 300.4% COMMENTS: REVENUES: Intergovernmental YTD activity consists of the first quarter County reimbursement of the site monitor. Sales YTD sales are tracking slightly under budget. EXPENDITURES: Supplies, Repairs, Maint. This expense category reflects an increase due to compost bags ordered in 2013; $24,693. We did not order bags until September in 2012. Contracted Services This expense category consists of temporary labor used in the source separating process. Services & Charges YTD 2013 expense is lower than last year due to paying the August 2012 trash hauling invoice in July last year; $37,942. Capital Outlay This category consists of repairs and a motor rebuild on the grinder cost $38,952. Fund: Water Category 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD July 2012 Approved Budget % Used REVENUES: (7,708,000) -14.6% Industrial 60,285,000 64,918,361 (4,633,361) -7.1% Total 4005 Taxes 53,449 230,574 420,000 (189,426) 54.9% 204,690 252,000 81.2% 4020 Special Assessments - - - - 0.0% - - 0.0% 4100 Intergovernmental - - - - 0.0% 9 271 - 100.0% 4250 Charges for Services 1,962 45,364 41,000 4,364 110.6% 29,697 32,000 92.8% 4450 Sales 198,886 11249,981 2 347 500 (1,097,519) 53.2% 1,335,922 2 347 500 56.9% 4620 Investment Earnings 8,850 2,928 20,000 (17,072) 14.6% (7,257)1 20,000 -36.3% 4700 lReimbursements 5 1 545 64,148 (62,603) 2.4% 3,284 64,017 5.1% 4800 ITransfers - - - - 0.0% 60 - 100.0% 4998 Fund Balance - - - - 0.0% - - 0.0% TOTAL REVENUES 263,142 1,530,392 2,892,648 1,362,256 52.9% 1,575,667 2,715,517 58.0% EXPENDITURES: 6105 Salaries & Fringe Benefits 40,582 252,184 465,623 213,439 54.2% 222,020 443,330 50.1% 6200 Supplies, Repairs, Maint. 11,522 56,419 128,825 72,406 43.8% 51,812 143,975 36.0% 6300 Contracted Services 2,623 18,143 40,000 21,857 45.4% 10,944 50,000 21.9% 6306 Services & Charges 58,537 245,678 400,470 154,792 61.3% 205,646 405,550 50.7% 6600 Debt Service 87,288 277,198 1 218 848 941 650 22.7% 274,657 11218,884 22.5% 6700 Transfers - - 43,145 43145 0.0% - 43,145 0.0% 6898 1 Depreciation - - 1,057,860 1 057 860 0.0% - 1,020,000 0.0% 6900 IMisc. Expenses 139 8,223 15,850 7,627 51.9% 7,824 15,850 49.4% 7000 lCapital Outlay - 313,090 250,000 (63,090) 125.2% - 250,000 0.0% TOTAL EXPENDITURES 200,691 1,170,934 3,620,621 2,449,687 32.3% 772,902 3,590,734 21.5% TOTAL REVENUE OVER UNDER EXPENDITURES 62 451 35%458 727 973 1 087 431 -49.4% 802 765 875 217 -91.7% COMMENTS: REVENUES: Taxes Sales This income category consists of the Local Option Sales Tax through May and Excise Tax on auto sales through June. YTD sales tax revenue is 12.5% higher than last year at this time and we are forecasting the annual revenue to exceed $1.45M compared to $1.3M in 2012. Industrial consumption is down 7% from last year due mostly to 3M whose usage is down 13 %. Commercial and residential consumption are down 14.6% and 7.6% respectively. EXPENDITURES: Services & Charges YTD 2013 expense is up from last year due to water main and hydrant repairs. Capital Outlay The 2013 activity consists of the replacement of the RO Membranes. YTD 2013 WATER CONSUMPTION YTD 2012 Change % Residential 145,962,000 157,892,000 (11,930,000) -7.6% Commercial 44,941,000 52,649,000 (7,708,000) -14.6% Industrial 60,285,000 64,918,361 (4,633,361) -7.1% Total 251,188,000 275,459,361 (24,271,361) -8.8% EXPENDITURES: Services & Charges YTD 2013 expense is up from last year due to water main and hydrant repairs. Capital Outlay The 2013 activity consists of the replacement of the RO Membranes. Fund: Sewer Category 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD July 2012 Approved Budget % Used REVENUES: $ 31,692 $ 14,956 $ 16,736 111.9% HTI 68,021 57,920 10,101 4005 Taxes 73,810 318,259 580,000 (261,741) 54.9% 282,668 348,000 81.2% 4070 Permits - 6,800 7,000 200 97.1% 6,700 7,000 95.7% 4250 Charges for Services - 447 7,000 (6,553) 6.4% 3,320 7,000 47.4% 4450 Sales 262,495 1 985 719 3,190,000 1 204 281 62.2% 2,012,063 3 190 000 63.1% 4620 Investment Earnings 12,554 4 025 20,000 (15,975) 20.1% (10,878) 20,000 -54.4% 4700 Reimbursements 1,443 13,854 64,148 (50,294) 21.6% 10,458 64,017 16.3% 4800 ITransfers - - - - 0.0% - - 0.0% 4998 lFund Balance - - - - 0.0% - - 0.0% TOTAL REVENUES 350,302 2 329 104 3,868,148 1 539 044 60.2% 2,304,330 3 636 017 63.4% EXPENDITURES: 6105 Salaries & Fringe Benefits 60,594 337,909 653,623 315,714 51.7% 349,782 623,725 56.1% 6200 Supplies, Repairs, Maint. 16,254 110,194 254,700 144,506 43.3% 156,614 405,500 38.6% 6300 Contracted Services 16,227 70,158 120,000 49,842 58.5% 55,395 120,000 46.2% 6306 Services & Charges 85,595 382,039 717,960 335,921 53.2% 387,231 747,300 51.8% 6600 Debt Service 103,398 532,221 1 528 394 996,173 34.8% 524,561 11527,212 34.3% 6700 Transfers - - 43,145 43,145 0.0% - 43,145 0.0% 6898 1 Depreciation - - 1,647,960 1 647 960 0.0% - 1,620,000 0.0% 6900 JMisc. Expense 434 15,685 27,000 11,315 58.1% 16,903 27000 62.6% 7000 Ca ital Outlay 6,460 6 460 350,000 343,540 1.8% - 350,000 0.0% TOTAL EXPENDITURES 288,963 1,454,665 5,342,782 3,888,117 27.2% 1,490,486 5,463,882 27.3% TOTAL REVENUE OVER UNDER EXPENDITURES 61,339 874,439 (1,474,634)1 2,349,073 -59.3% 813,845, 1 827 865 -44.5% COMMENTS: REVENUES: Taxes This income category consists of the Local Option Sales Tax through May and Excise Tax on auto sales through June. YTD sales tax revenue is 12.5% higher than last year at this time and we are forecasting the annual revenue to exceed $1.45M compared to $1.3M in 2012. Sales Sewer sales for 2013 are tracking slightly overbudget due to Purified Renewable Energy hauling over 4,000,000 gallons of discharge water to the City's facility, resulting in additional revenue of $128,214. The City has a pre - petition bankruptcy claim of $87,214 regarding Purified Renewable Energy. The company is prepaying for post- bankruptcy service, however the pre - petition balance may be uncollectible. Flow revenue is down for Industrial and Commercial users while Residential is up nearly 1 %. Surcharge revenue is down substantially as Ohly addressed their issues in mid -2012. Industrial Users: YTD 2013 FLOW REVENUE YTD 2012 Change % YTD 2013 LOAD SURCHARGES YTD 2012 Change % 3M $ 93,994 $ 95,581 $ (1,588) -1.7% $ 31,692 $ 14,956 $ 16,736 111.9% HTI 68,021 57,920 10,101 17.4% 194 - 194 0.0% Ohly 109,237 136,762 (27,525) -20.1% 148,712 296,673 (147,961) -49.9% Total $ 271,252 $ 290,263 $ (19,011) -6.5% $ 180,599 $ 311,629 $ (131,030) -42.0% Residential $ 1,108,145 $ 1,098,333 $ 9,812 0.9% Commercial 281,549 295,248 13,699 -4.6% EXPENDITURES: Salaries & Fringe Benefits Wages are down this year due to a turnover in personnel. Fund: Storm Water Utility Category 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD July 2012 Approved Budget % Used REVENUES: 4070 Permits 510 1,525 - 1,525 100.0% 805 - 100.0% 4100 Intergovernmental - - - - 0.0% - - 0.0% 4250 Charges for Services 337 587 1,000 413 58.7% 473 1,000 47.3% 4450 Sales 56,179 389,519 664,350 (274,831) 58.6% 364,050 613,250 59.4% 4620 Investment Earnings 2,900 550 1,000 450 55.0% (3,712) 1,000 - 371.2% 4700 Reimbursements 251 1,919 - 1,919 100.0% 914 - 100.0% 4998 lFund Balance - - - - 0.0% - - 0.0% TOTAL REVENUES 60,177 394,100 666,350 272,250 59.1% 362,529 615,250 58.9% EXPENDITURES: 6105 Salaries & Fringe Benefits 12,152 65,146 211,877 146,731 30.7% 66,091 205,610 32.1% 6200 Supplies, Repairs, Maint. 1,153 3,497 29,100 25,603 12.0% 8,897 33,100 26.9% 6300 Contracted Services 476 807 20,000 19 193 4.0% 15,476 20,000 77.4% 6306 Services & Charges 6,481 38,934 124 300 85 366 31.3% 72,023 122,250 58.9% 6600 Debt Service 19,143 148,809 198 857 50,048 74.8% 147,255 165,340 89.1% 6898 Depreciation - - 113,060 113,060 0.0% - 90,000 0.0% 6900 Mi7 Ex enses 60 3,309 2,200 (1,109) 150.4% 110 2,200 5.0% 7000 lCapital Outlay 100 100 120,000 119,900 0.1% - 157,000 0.0% TOTAL EXPENDITURES 39,565 260,603 819,394 558,791 31.8% 309,852 795,500 39.0% TOTAL REVENUE OVER UNDER EXPENDITURES 20,612 133,497, (153,044)1 286,541 -87.2%1 52,677, (180,250)1 - 29.2% COMMENTS: REVENUES: Sales Stormwater fees reflect an 8.3% increase for 2013 and is tracking to budget. EXPENDITURES: Misc. Expenses YTD 2013 includes the first half payment of ditch assessments to the County related to impovements made to ditch 18 northeast of town; $2,918. Fund: HATS Category 2013 Month of July 2013 YTD July 2013 Budget 2013 Budget Balance % Used 2012 YTD July 2012 Approved Budget % Used REVENUES: 4100 Intergovernmental 5,690 73,888 136,396 (62,508) 54.2% 65,576 131,150 50.0% 4250 Charges for Services 44,289 308,863 535,000 (226,137) 57.7% 254,428 480,000 53.0% 4620 Investment Earnings 511 143 1,000 857 14.3% 399 1,000 -39.9% 4700 Reimbursements 220 18,636 2,000 16,636 931.8% 437 2,000 21.8% 4800 Transfers - 46,618 93,236 (46,618) 50.0% 44,825 89,650 50.0% TOTAL REVENUES 50,710 448,147 767,632 319,485 58.4% 364,867 703,800 51.8% EXPENDITURES: 6105 Salaries & Fringe Benefits 6,231 40,100 52,665 12,565 76.1% 41,395 55,375 74.8% 6200 Supplies, Repairs, Maint. 55,970 314,028 535,000 220,972 58.7% 260,626 492,900 52.9% 6300 Contracted Services - - 1,105 1,105 0.0% - 1,455 0.0% 6306 Services & Charges 13,921 95,569 153,975 58,406 62.1% 71,474 154,000 46.4% 6900 Misc. Expenses - 35 77 42 45.5% 859 70 1226.4% 7000 Ca ital Outlay - - 20,500 20,500 0.0% - - 0.0% TOTAL EXPENDITURES 76,122 449,732 763,322 313,590 58.9% 374,354 703,800 53.2% TOTAL REVENUE OVER UNDER EXPENDITURES (25,412)1 4,310 (5,894)1 9 487 COMMENTS: REVENUES: Intergovernmental This income category consists of the funding from the State and County. The State is paying monthly and the County is paying semi - annually in April and October. Charges for Services This income category consists of the fuel revenue from various governmental entities and City departments. Transfers This income category consists of the funding from the City and is paid semi - annually in April and October. EXPENDITURES: Supplies, Repairs, Maint. This expense category consists of the fuel purchased for use by various governmental entities and City departments. Services & Charges YTD 2013 expense is up from 2012 due to repairs made to the brine mixer. The expenses were covered by insurance with reimbursement reflected in the Reimbursement revenue line item. Utilities expense is also up from last vear due to the colder weather this winter /spring compared to last vear. Executive summary as of July 31, 2013 Asset allocation summary Value on % of 07/31/2013 ($) portfolio A Cash 2,758,551.49 20.59 Cash 2,758,551.49 20.59 B Fixed Income 10,635,931.09 79.41 us 10,386,593.25 77.54 International 249,337.84 1.87 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 $13,394,482.58 100% 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 $ Thousands 53 44 35 27 0 A 18 9 B 0 Portfolio does not contain applicable holdings - exhibit intentionally left blank. Aug Sep Oct Nov Dec Jan Feb Mar Apr May Jun Jul 2013 2014 2014 Taxable income Total expected cash flow: $138,564.42 Cash flows displayed account for known events such as maturities and mandatory puts. Credit quality of bond holdings Value on % of Effective credit rating Issues 07/31/2013 ($) port. A Aaa /AAA/AAA 5 4,307,116.00 40.53 B Aa /AA/AA 2 1,951,573.33 18.37 C A/A/A 1 510,273.33 4.79 D Baa /BBB /BBB 0 0.00 0.00 E Non - investment grade 0 0.00 0.00 F Certificate of deposit 17 3,866,968.42 36.32 G Not rated 0 0.00 0.00 Total 25 $10,635,931.09 100% F A C B Report created on: August 01, 2013 Page 1 of 3 Prepared for City of Hutchinson RP 38446 • City of Hutchinson • Business Service Account Risk profile: Conservative Return Objective: Current Income summaryIncludes all fixed -rate securities in the selected porfolio. Average yields and durations exclude Structured Product, Pass - Through, Perpetual Preferred, and Foreign securities. as of July 31, 2013 Bond overview Total quantity 10,730,000 Total market value $10,612,917.22 Total accrued interest $23,013.87 Total market value plus accrued interest $10,635,931.09 Total estimated annual bond interest $151,964.25 Average coupon 1.45% Average current yield 1.43% Average yield to maturity 0.98% Average yield to worst 0.98% Average effective maturity 5.80 Credit quality of bond holdings Value on % of Effective credit rating Issues 07/31/2013 ($) port. A Aaa/AAA/AAA 5 4,307,116.00 40.53 B Aa /AA/AA 2 1,951,573.33 18.37 C A/A/A 1 510,273.33 4.79 D Baa/BBB /BBB 0 0.00 0.00 E Non - investment grade 0 0.00 0.00 F Certificate of deposit 17 3,866,968.42 36.32 G Not rated 0 0.00 0.00 Total 25 $10,635,931.09 100% Investment type allocation % of Tax - exempt / bond Investment type Taxable ($) deferred ($) Total ($) port. Certificates of deposit 3,866,968.42 0.00 3,866,968.42 36.36 Municipals 1,017,891.67 0.00 1,017,891.67 9.57 U.S. federal agencies 5,751,071.00 0.00 5,751,071.00 54.07 Total $10,635,931.09 Bond maturity schedule $ Millions $0.00 $10,635,931.09 100% 3.5 3.0 27.2% OB A 2.5 22.2 2.0 17.5 15.2% 1.5 1.0 4.6% 9.5 0.5 1.3 0.0% 0.0% 0.0% 10.0% 0.0% 0.0% 0.0 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2024 + Other 0 Effective maturity schedule Cash, mutual funds and some preferred securities are not included. Report created on: August 01, 2013 Page 1 of 2 rt i i S as of July 31, 2013 Summary of Portfolio Holdings Prepared for City of Hutchinson RP 38446 • City of Hutchinson • Business Service Account Risk profile: Conservative Return Objective: Current Income F Other 0.00 0.00 0.00 0.00% 0.00 0.00% 0.00% Total Portfolio $13,616,094.32 $13,394,482.58 Balanced mutual funds are allocated in the 'Other' category $- 221,611.74 - 1.63% $153,067.67 1.14% 100% B Report created on: August 01, 2013 Page 1 of 6 Value on Unrealized Unrealized Est. annual Current % of Cost basis ($) 07/31/2013 ($) gain /loss ($) gain /loss ( %) income ($) yield ( %) portfolio A Cash 2,758,551.49 2,758,551.49 0.00 0.00% 1,103.42 0.04% 20.59% Cash 2,758,551.49 2,758,551.49 0.00 0.00% 1,103.42 0.04% 20.59% B Fixed Income 10,857,542.83 10,635,931.09 - 221,611.74 - 2.04% 151,964.25 1.43% 79.41% Us 10,609,542.83 10,386,593.25 - 222,949.58 -2.10% 150,600.25 1.45% 77.54% International 248,000.00 249,337.84 1,337.84 0.54% 1,364.00 0.55% 1.87% C Equity 0.00 0.00 0.00 0.00% 0.00 0.00% 0.00% �A D Commodities 0.00 0.00 0.00 0.00% 0.00 0.00% 0.00% E Non - Traditional 0.00 0.00 0.00 0.00% 0.00 0.00% 0.00% F Other 0.00 0.00 0.00 0.00% 0.00 0.00% 0.00% Total Portfolio $13,616,094.32 $13,394,482.58 Balanced mutual funds are allocated in the 'Other' category $- 221,611.74 - 1.63% $153,067.67 1.14% 100% B Report created on: August 01, 2013 Page 1 of 6 o% UBS Portfolio holdings - as of July 31, 2013 (continued) Details of portfolio holdings Prepared for City of Hutchinson RP 38446 • City of Hutchinson • Business Service Account Risk profile: Conservative Return Objective: Current Income % of Unrealized Unrealized Est. annual Current asset % of Cost basis ($) Market value ($) pain /loss ($) pain /loss M income ($) vield M class portfolio Total Portfolio $13,616,094.32 $13,394,482.58 $- 221,611.74 - 1.63% $153,067.67 1.14% 100% 100% Total Cash $2,758,551.49 $2,758,551.49 $0.00 0.00% $1,103.42 0.04% 100.00% 20.59% Total Cash $2,758,551.49 $2,758,551.49 $0.00 0.00% $1,103.42 0.04% 100% 20.59% Avg. % of purchase Price on Unrealized Unrealized Est. annual Current % of % of Cash Quantity price ($) 07/31/2013 ($) Cost basis ($) Market value ($) gain /loss ($) gain /loss ( %) income ($) yield ( %) Cash portfolio Cash UBS BANK USA DEPOSIT ACCOUNT 10,000.00 1.00 1.00 10,000.00 10,000.00 0.00 0.00% 0.00 0.00% 0.36% 0.07% UBS SELECT PRIME INSTITUTIONAL 2,758,551.49 1.00 1.00 2,758,551.49 2,758,551.49 0.00 0.00% 1,103.42 0.04% 100.00% 20.59% FUND 145,000.00 100.00 100.41 145,000.00 146,452.96 1,452.96 1.00% 1,812.50 1.24% 1.38% 1.09% USD CASH - 10,000.00 1.00 1.00 - 10,000.00 - 10,000.00 0.00 0.00% 0.00 0.00% -0.36% -0.07% Total Cash $2,758,551.49 $2,758,551.49 $0.00 0.00% $1,103.42 0.04% 100.00% 20.59% Total Cash $2,758,551.49 $2,758,551.49 $0.00 0.00% $1,103.42 0.04% 100% 20.59% Report created on: August 01, 2013 Page 2 of 6 Avg. % of purchase Price on Unrealized Unrealized Est. annual Current Fixed % of Fixed Income Quantity price ($) 07/31/2013 ($) Cost basis ($) Market value ($) gain /loss ($) gain /loss ( %) income ($) yield ( %) Income portfolio us ALLY BANK UT US RT 00.9500% MAT 248,000.00 100.00 100.83 248,000.00 251,185.00 3,185.00 1.28% 2,356.00 0.94% 2.36% 1.88% 02/09/15 FIXED RATE CD AMERICAN EXPRESS C NY US RT 145,000.00 100.00 100.41 145,000.00 146,452.96 1,452.96 1.00% 1,812.50 1.24% 1.38% 1.09% 01.2500% MAT 08/09/16 FIXED RATE CD BANK LEUMI NY US RT 00.8000% 249,000.00 100.00 100.62 249,000.00 250,797.34 1,797.34 0.72% 1,992.00 0.80% 2.36% 1.87% MAT 06/15/15 FIXED RATE CD BANK OF CHINA NY US RT 00.6000% 249,000.00 100.00 100.27 249,000.00 249,863.79 863.79 0.35% 1,494.00 0.60% 2.35% 1.87% MAT 06/13/14 FIXED RATE CD BEAL BNK LAS VEGAS NV US RT 248,000.00 100.00 100.00 248,000.00 249,091.54 1,091.54 0.44% 1,116.00 0.45% 2.34% 1.86% 00.4500% MAT 08/07/13 FIXED RATE CD CHICAGO IL PROJ & TAX 2006B 500,000.00 108.20 101.61 541,020.00 510,273.33 - 30,746.67 - 5.68% 26,500.00 5.22% 4.80% 3.81% OID99.702BE/R/ 5.300 010114 DTD Report created on: August 01, 2013 Page 2 of 6 o% UBS Portfolio holdings - as of July 31, 2013 (continued) Prepared for City of Hutchinson RP 38446 • City of Hutchinson • Business Service Account Risk profile: Conservative Return Objective: Current Income Avg. % of purchase Price on Unrealized Unrealized Est. annual Current Fixed % of Fixed Income Quantity price ($) 07/31/2013 ($) Cost basis ($) Market value ($) gain /loss ($) gain /loss ( %) income ($) yield ( %) Income portfolio us 100.62 032906 249,877.56 DISCOVER BANK DE US RT 01.0500% 248,000.00 MAT 06/15/15 FIXED RATE CD 1.04% DORAL BANK PR RT 00.9500% MAT 248,000.00 02/10/15 FIXED RATE CD 100.84 ENERBANK UT US RT 01.3500% MAT 240,000.00 10/04/18 FIXED RATE CD 1.28% FED FARM CREDIT BANK 04.875 % 431,000.00 DUE 011717 DTD 010907 FC 1.88% 07172007 96.12 FHLB BOND STEP -UP 01.000 % DUE 1,000,000.00 060623 DTD 060613 FC 12062013 -3.78% FHLB STEP UP CALL BOND 01.000 % 1,000,000.00 DUE 013023 DTD 013013 FC 1.72% 07302013 113.69 FHLB STEP UP CALL BOND 01.000 % 1,000,000.00 DUE 013023 DTD 013013 FC -0.45% 07302013 4.29% FHLB STEP UP CALL BOND 01.000 % 950,000.00 DUE 092822 DTD 092812 FC 96.22 03282013 963,727.78 FHLB STEP UP CALL BOND 01.000 % 1,500,000.00 DUE 122822 DTD 122812 FC 1.04% 06282013 7.19% GE CAP BK UT US RT 01.1000% MAT 115,000.00 06/08/15 FIXED RATE CD 971,710.00 GE CAP BK UT US RT 01.7500% MAT 130,000.00 08/03/17 FIXED RATE CD 1.03% GE CAP RETAIL BK UT US RT 247,000.00 01.7500% MAT 08/03/17 FIXED RATE 96.24 CD 962,390.00 GOLDMAN SACHS BANK NY US RT 248,000.00 01.0500% MAT 02/09/15 FIXED RATE 1.04% CD 7.18% Report created on: August 01, 2013 100.00 100.62 248,000.00 249,877.56 1,877.56 0.76% 2,604.00 1.04% 2.35% 1.87% 100.00 100.84 248,000.00 251,174.57 3,174.57 1.28% 2,356.00 0.94% 2.36% 1.88% 100.00 96.12 240,000.00 230,925.27 - 9,074.73 -3.78% 3,240.00 1.40% 2.17% 1.72% 114.39 113.69 493,022.83 490,812.38 - 2,210.45 -0.45% 21,011.25 4.29% 4.61% 3.66% 100.00 96.22 1,000,000.00 963,727.78 - 36,272.22 -3.63% 10,000.00 1.04% 9.06% 7.19% 100.00 97.17 1,000,000.00 971,710.00 - 28,290.00 -2.83% 10,000.00 1.03% 9.14% 7.25% 100.00 96.24 1,000,000.00 962,390.00 - 37,610.00 -3.76% 10,000.00 1.04% 9.05% 7.18% 100.00 96.34 950,000.00 918,475.83 - 31,524.17 -3.32% 9,500.00 1.04% 8.64% 6.86% 100.00 96.17 1,500,000.00 1,443,955.00 - 56,045.00 -3.74% 15,000.00 1.04% 13.58% 10.78% 100.00 100.33 115,000.00 115,551.65 551.65 0.48% 1,265.00 1.10% 1.09% 0.86% 100.00 100.18 130,000.00 130,406.19 406.19 0.31% 2,275.00 1.75% 1.23% 0.97% 100.00 100.18 247,000.00 249,548.13 2,548.13 1.03% 4,322.50 1.75% 2.35% 1.86% 100.00 100.37 248,000.00 250,141.90 2,141.90 0.86% 2,604.00 1.05% 2.35% 1.87% Page 3 of 6 o% UBS Portfolio holdings - as of July 31, 2013 (continued) Prepared for City of Hutchinson RP 38446 • City of Hutchinson • Business Service Account Risk profile: Conservative Return Objective: Current Income Total Us $10,609,542.83 $10,386,593.25 $- 222,949.58 -2.10% $150,600.25 1.45% 97.66% 77.54% International BANK OF BARODA NY US RT 248,000.00 100.00 100.00 248,000.00 249,337.84 1,337.84 0.54% 1,364.00 0.55% 2.34% 1.86% 00.5500% MAT 08/07/13 FIXED RATE CD Total International $248,000.00 $249,337.84 $1,337.84 0.54% $1,364.00 0.55% 2.34% 1.87% Total Fixed Income $10,857,542.83 $10,635,931.09 $- 221,611.74 -2.04% $151,964.25 1.43% 100% 79.41% % of Unrealized Unrealized Est. annual Current asset % of Cost basis ($) Market value ($) gain /loss ($) gain /loss (%) income ($) yield ( %) class portfolio Total Portfolio $13,616,094.32 $13,394,482.58 $- 221,611.74 -1.63 $153,067.67 1.14% 100% 100% Total accrued interest (included in market values): $23,013.87 Report created on: August 01, 2013 Page 4 of 6 Avg. % of purchase Price on Unrealized Unrealized Est. annual Current Fixed % of Fixed Income Quantity price ($) 07/31/2013 ($) Cost basis ($) Market value ($) gain /loss ($) gain /loss ( %) income ($) yield ( %) Income portfolio Us HUNTINGTON NATL BK OH US RT 249,000.00 100.00 100.44 249,000.00 250,349.14 1,349.14 0.54% 1,992.00 0.80% 2.35% 1.87% 00.8000% MAT 12/15/14 FIXED RATE CD MASSACHUSETTS DEPT TRANS TAX 500,000.00 104.90 101.32 524,500.00 507,618.33 - 16,881.67 -3.22% 12,040.00 2.38% 4.77% 3.79% SR B RV BE/R/ 2.408 010117 DTD 113011 SAFRA NATL BK NY US RT 00.8000% 249,000.00 100.00 100.61 249,000.00 251,424.85 2,424.85 0.97% 1,992.00 0.80% 2.36% 1.88% MAT 08/17/15 FIXED RATE CD SALLIE MAE BANK UT US RT 248,000.00 100.00 100.60 248,000.00 250,773.56 2,773.56 1.12% 2,728.00 1.09% 2.36% 1.87% 01.1000% MAT 08/10/15 FIXED RATE CD SUN NATL BK NJ US RT 01.0000% 240,000.00 100.00 99.95 240,000.00 240,067.13 67.13 0.03% 2,400.00 1.00% 2.26% 1.79% MAT 10/03/17 FIXED RATE CD Total Us $10,609,542.83 $10,386,593.25 $- 222,949.58 -2.10% $150,600.25 1.45% 97.66% 77.54% International BANK OF BARODA NY US RT 248,000.00 100.00 100.00 248,000.00 249,337.84 1,337.84 0.54% 1,364.00 0.55% 2.34% 1.86% 00.5500% MAT 08/07/13 FIXED RATE CD Total International $248,000.00 $249,337.84 $1,337.84 0.54% $1,364.00 0.55% 2.34% 1.87% Total Fixed Income $10,857,542.83 $10,635,931.09 $- 221,611.74 -2.04% $151,964.25 1.43% 100% 79.41% % of Unrealized Unrealized Est. annual Current asset % of Cost basis ($) Market value ($) gain /loss ($) gain /loss (%) income ($) yield ( %) class portfolio Total Portfolio $13,616,094.32 $13,394,482.58 $- 221,611.74 -1.63 $153,067.67 1.14% 100% 100% Total accrued interest (included in market values): $23,013.87 Report created on: August 01, 2013 Page 4 of 6 MINUTES Parks, Recreation & Community Education Advisory Board July 1, 2013 Members present were Lori Hornick- Lindell, Matt Butler, Betsy Czmowski, Eric Opland, Elizabeth Hanninen, John Rodeberg, Troy Scotting and Mary Christensen. Dolf Moon was also present. The meeting was called to order at 5:15 pm. A motion was made by John Rodeberg and seconded by Troy Scotting to approve the minutes dated April 1, 2013. The board unanimously agreed. OLD BUSINESS Imagine Hutchinson Project — The sub group has been identified. They will be meeting at least quarterly. Arena Study — There has been 4.9 million in projects identified in the arena study. Aquatic Center — There will be a study completed and a workshop in September. Comp Plan — The first draft of the City of Hutchinson's Comprehensive Plan is completed. The final draft is expected in September. NEW BUSINESS Chamber Leadership Group — The Board reviewed the Chamber Leadership projects including the Historic Hutch Sign, turf project, fishing pier, community gardens, pet waste stations and Harrington Merrill House clean -up. Sculpture Stroll -.The sculpture stroll is a $17,000 project. There has been lot of favorable feedback about the installations. Summer Projects — Crews have completed the leadership projects and continue with general maintenance. May Registration Numbers — The Board received a handout reviewing the current registration numbers for summer programs. ADJOURNMENT The meeting was adjourned at 6:20 pm by a motion by Troy Scotting and seconded by John Rodeberg. CITY OF HUTCHINSON TREE BOARD Monday, July 29, 2013 5:15 p.m. City Center Meeting Notes Members present: Newton Potter, Laura Poser, Dale Redetzke, Steve Cook (Council) Members absent: Corey Stearns Others Present: Mike Bahe, Natural Resource Specialist; John Olson, Public Works Manager; Meeting began at 5:15 p.m. in the NE shelter in South Park. There was a quorum present. 1. Review Tree Board meeting notes Tree Board minutes of April 29, 2013 were distributed and reviewed. 2. Tree Board Members Newton Potter (to 04/13 *, 2nd full -term) Corey Stearns (to 04/14 *, 2nd full -term) Steve Cook (Council representative) Mike Bahe (Parks representative) John Olson (Public Works representative) Dale Redetzke (to 04/13 *, 2nd full -term) Laura Poser (to 04/14 *, 2nd full -term) For meeting schedules & interest forms for serving on the Tree Board, see www.ci.hutchinson.mn.us 3. Standing Reports a) Mike Bahe made a presentation. a. So far in 2013 there have been 181 calls to forestry logged. This is in line with last year's numbers. b. There have been 5 Dutch Elm Disease notices sent in 2013. This also is in line with last year. c. Tree /stump removal contract (A), for 20 trees, has been completed. The stumps have also been done. There will be a Tree /stump removal contract (B) let in early August, which is expected to be between 12 -18 trees. d. To date, there have been 304 trees planted in 2013, with about 100 more to go. These include DNR Grant trees, energy conservation trees, and boulevard trees. e. So far there have been 20 applications for energy conservation trees. There have also been some shelter belt plantings, such as at the Greens, to conserve energy. f. DNR Grant trees planted so far is 130. 80 grant trees are currently being planted in the Rolling Meadows Addition. Tree Board Meeting Notes July 29, 2013 Page 2 g. In cooperation with Iowa State University, several trees have been injected with chemicals to control bur oak blight (BOB). It will be unlikely that the trees treated for BOB this year will show the full measure of the treatments' effectiveness. Next year will be a better indication of whether BOB treatments are effective. Babe indicated that there is a local contractor who is interested in providing BOB treatments, so future private treatments may be available in the community h. Pruning has generally been limited to response to requests for service and minor storm damage. Public Works employees will likely be able to be do some `green' pruning fro low hanging branches and will likely begin work on Hassan St SE & Main St S between 0' Ave S and the river. Some work may begin in the area of the Recreation Center. 4. Operational Issues and Open Proiects a) Green Corps member a. There will be a Green Corps member assigned to Hutchinson from September 2013 through August 2014. b. The City of Hutchinson is fortunate, in that only 3 Cities won this grant to provide a fully funded staff person to address forestry issues. c. The primary function of the position will be to identify species diversification projects the City can undertake in preparation for an infestation of Emerald Ash Borer (EAB). The projects identified will be broken down into logical projects that will be able to be pulled `off the shelf' to obtain price quotations, or be used by City staff to implement species diversification. b) Tree Disease /Infestation Mitigation a. The Green Corps member will be using existing data and some localized inventory work to identify the need for and to plan projects. Once there are several projects identified, staff will be able to identify some costs associated with typical projects to identify potential costs for proactive EAB activities. b. When combined with the projects identified, the total inventory of publicly owned ash trees can be extrapolated to provide some idea of the scope of future costs related to removals and replacements of trees infested with EAB. c. Considering the fact the City has looked at EAB effects prior to the infestation, the City should be in a much better position to respond once EAB makes it to this area. 5. Other Discussions/ New Business a) Quarterly Meeting schedules: 07/29/13, 10/28/13, 01/27/14. Tree Board Meeting Notes July 29, 2013 Page 2 b) Other items: a. Update on Cemetery. There have been several removals of hazard and poor quality trees at the Cemetery this year so far. As work continues on the trees at Oakland Cemetery, the desire is to replace removed trees with a number of oak species. b. Hazard Trees in Parks. Discussion was held regarding the identification of and response to hazardous trees in City parks. It was acknowledges that it would be nearly impossible, given currently available resources, to do a thorough inspection of trees in the parks. Park users, the public, and City staff can help a lot by reporting any potential hazard they see so it can be investigated. Once a tree has been identified as a potential hazard, a response plan for the tree will be implemented. It was also acknowledged that the response plan for a particular tree will likely need to be prioritized, as determined by available resources. At 6:10, the meeting adjourned. NEXT MEETING: Regularly scheduled meeting: 10/28/2013. Planning, Zoning and Building Dept. Monthly Report July 2013 Building Department Permit Activities A Commercial Remodel 1060 Hwy 15 S (Dunham's) $400,000; 1095 Hwy 15 S (Hutch Health) $85,000; 8 Main St N (Bakery) $40,000 B Industrial New 1060 5th Ave SE (Co -op) steel bin C New Residential 1435 Heritage Ave NW; 714 Madson Ave SW Other Building Inspection Activities July 23rd SW Chapter Mtg Evergreen Meals served in July Week of 07/2012 07/2013 2012 Year to Date 2013 Year to Date Total Number Inspections 138 125 694 1050 % of Inspections done within 24 HRS N/A 100.0% N/A 99.91% Total Number Plan Reviews 7 34 12 108 % of Plan Reviews completed in 21 Days N/A 100% N/A 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) 3 $11,900.00 0 $0.00 3 $11,900.00 1 $38,400.00 Commercial ( additions /remodels) 7 $164,400.00 7 $526,000.00 A 45 $1,778,800.00 42 $1,441,601.00 Total Commercial 10 $176,300.00 7 $526,000.00 48 $1,790,700.00 43 $1,480,001.00 Industrial (new) 0 1 $1,200,000.00 0 1 $1,200,000.00 Industrial (additions /remodels) 0 $0.00 0 $0.00 2 $850,000.00 1 $20,000.00 Total Industrial 0 $0.00 1 $1,200,000.00 2 $850,000.00 2 $1,220,000.00 Fire Sprinkling 0 $0.00 1 $27,900.00 2 $1,600.00 5 $64,785.00 New Residential 1 $204,000.00 2 $290,121.00 C 4 $655,140.00 5 $921,254.00 Residential misc (additions /remodels) 8 $225,050.00 26 $102,600.00 73 $566,964.00 93 $694,650.00 Set Fee permits (reside, reroof, window) 62 71 349 292 HRA Permits 0 $0.00 0 11 $80,946.00 1 Subtotal Building Permits 81 $605,350.00 108 $2,146,621.00 489 $3,945,350.00 441 $4,380,690.00 Mechanical 14 $97,890.00 13 $127,400.00 83 $674,818.00 88 $349,448.00 HRA Mechanical 01 0 01 2 Plumbing 6 9 40 38 HRA Plumbing 0 0 0 1 Signs 8 $0.00 14 $0.00 66 $108.00 67 $679.00 Total Valuation 109 $703,240.00 144 $2,274,021.00 678 $4,620,276.00 637 $4,730,817.00 *Set fees not included in valuation A Commercial Remodel 1060 Hwy 15 S (Dunham's) $400,000; 1095 Hwy 15 S (Hutch Health) $85,000; 8 Main St N (Bakery) $40,000 B Industrial New 1060 5th Ave SE (Co -op) steel bin C New Residential 1435 Heritage Ave NW; 714 Madson Ave SW Other Building Inspection Activities July 23rd SW Chapter Mtg Evergreen Meals served in July Week of Hutchinson Park Towers Silver Lake Glencoe Brownton Stewart 7/1 -7/6 196 117 33 105 27 39 7/7 -7/13 286 186 54 160 26 68 7/14-7/201 219 166 61 161 36 68 7/21 -7/27 333 164 57 177 29 65 7/28 -7/31 151 102 34 96 22 38 Total 1185 735 239 699 140 278 Total Meals served in July 3276 Dates Closed July 4th & 5th Planning and Zoning Monthly Activities Month/Year: July, 2013 Activity Number Additional Info. Number of Planning Applications Reviewed and 4 Conditional use permit - Pride Solutions Processed Conditional use permit, Site plan and Rezone - Memory Care Facility Number of Joint Planning Board Applications 3 Final plat, Variance and Rezone - Sioux Reviewed and Processed Hills No. 6 Number of Planning Commission Meetings 1 Site plan for Maurices development Number of Joint Planning Meetings 0 Number of Zoning Reviews for Building Permits 19 (Compliance with Zoning Code) Number of Land Use Permits Issued -(Fences, 19 small sheds, patios, driveways, detached decks, etc.) Number of Zoning Review for Sign Permits 14 Number of Predevelopment /Pre Application 3 Memory Care Facility One Stop Shop, Meetings Maurices One Stop Shop, Hwy 15 /Edmondton Number of Misc. Planning Meetings 21 Management Team - 4 Ordinance revisions, Landscaping Meeting, Planning Staff meeting Lynn Rd Property Discussion Budget Workshop, City Council - 2 Imagine Hutchinson Sub Committee Met with Hutchinson Self Storage owner Public Arts meeting,Wellness Committee Bicycle Friendly Community Planning Commission, Civic Arena Report meeting, Dakota Rail Trail meeting, Bank meeting Facilities meeting Number of Zoning Enforcement Cases 18 Hoop buildings, signs Number of Walk -In Customers Served 419 Site Visits 12 Burns Manor, Montreal Stock Pile Walgreens, 606 Main St., 116 Monroe St. Hoop Building Inventory, other misc. RA Hutchinson Housing & Redevelopment Authority ANNUAL BOARD MEETING AUGUST 21, 2012 Minutes 1. Call to Order Vice Chairperson Joel Kraft, called the meeting to order. Members Present: Bill Arndt and LaVonne Hansen. Staff Present: Jean Ward and Judy Flemming. 2. CONSIDERATION OF MINUTES OF AUGUST 1 b, 2011 ANNUAL MEETING Bill Arndt moved to approve the Minutes of the annual board meeting as written. LaVonne Hansen seconded and the motion carried unanimously. 3. CONSIDERATION OF REVISED 2010 -2015 HRA Work Plan Jean Ward reviewed with the Board the 2010 -2015 HRA Work Plan. They discussed need for possible rental rehabilitation program and the need for demolition of single family houses unsuitable for rehab. Bill Arndt moved to approve the revised 2010 -2015 HRA Work Plan with more discussion on the need for demolition of single family houses unsuitable for rehab. LaVonne Hansen seconded and the motion carried unanimously. 4. Election of Officers Bill Arndt made a motion to nominate the same officers and loan review committee members. LaVonne Hansen seconded and the motion carried unanimously. 5. There being no other business, Vice Chairman Joel Kraft declared the meeting adjourned. Recorded by Jean Ward, HRA Executive Director LaVonne H"anser Secretary /Treasurer [H-RA Hutchinson Housing & Redevelopment Authority Regular Board Meeting Tuesday, July 16, 2013, 7:00 AM Minutes CALL TO ORDER: Chairman Becky Felling called the meeting to order. Members Present: Gary Forcier, LaVonne Hansen, Joel Kraft and LouAnn Holmquist. Staff Present: Jean Ward and Judy Flemming. 2. CONSIDERATION OF MINUTES OF THE REGULAR BOARD MEETING ON JUNE 18, 2013 LaVonne Hansen moved to approve the Minutes of the regular board meeting as written. Joel Kraft seconded and the motion carried unanimously. 3. FINANCIAL REPORTS a. Joel Kraft moved to approve the City Center General Fund payments of $11,185.53 for checks 8302 to 8315 and the July 4, 2013 City Center Financial Statements. LaVonne Hansen seconded and the motion carried unanimously. b. LouAnn Holmquist moved to approve the Park Towers payments of $31,681.13 for checks 12432 to 12467 and consideration of Park Towers May 2013 Financial Statements. Joel Kraft seconded and the motion carried unanimously. 4. PARK TOWERS UPDATE a. July 2013 Occupancy Report: 98% - currently filling 2 apartments from the waiting list. b. Gary Forcier asked for a bed bug update. Jean Ward reported that the infestation has been eradicated. The staff has educated residents about bed bugs and steps they can take to avoid them. c. Update on Boiler Project: Everything is into MHFA, so just waiting for their commitment to proceed. d. Update on 2013 Capital Funds Status (funding reserved for replacement of refrigerators): Jean is estimating that the funding will be available in September. e. The Library remodel is complete. 5. CONSIDERATION OF HRA RESOLUTION #2013 -5 ADOPTING CHANGE IN HRA SICK LEAVE /PERSONNEL POLICY COMPARABLE TO AMENDED CITY POLICY LaVonne Hansen moved to approve Resolution #2013 -5 Adopting change in HRA sick leave /personnel policy comparable to amended City policy. Gary Forcier seconded and the motion carried unanimously. 6. UPDATE ON 907 LEWIS AVE The Sentence -to -Serve crew cleaned out the house. Hazard Assessment was done and vermiculite was found. If the vermiculite contains asbestos it is costly to remove. Thanks to Lee Miller the new EDA Director, the EDA Intern is also helping with the demolition process. We will be putting project updates on the HRA webpage. 7. UPDATE OF CURRENT SCDP REHAB PROGRAM FOR NE AND SW NEIGHBORHOOD a. Program Income Report shows that we will have to do around 5 more homeowner rehab projects with the received program income before we can draw down any of our current SCDP allocation. This also means that we will have to delay our next DEED SCDP application until 50% of our current allocation is expended. ; July 16, 2013 Minutes p of 2 8. CONSIDERATION OF 2014 CITY CENTER BUDGET — Project fund estimated to be used for HRA Rehab Loans The Board discussed the 2014 City Center Budget. Becky Felling moved to 2014 City Center budget with a $155,000 tax levy. Roll call vote taken: Becky Felling — aye, Gary Forcier — nay; additional information is requested for the proposed use for the HRA Project Fund, LaVonne Hansen — nay; LouAnn Holmquist — aye, Joel Kraft -- aye. Motion carried 3 to 2. 9. VALUE GAP CALCULATION FOR 734 SOUTHVIEW DR SW Jean Ward reviewed with the Board the value gap needed for 734 Southview Drive - $5,316.29. The amount needed was less because the purchase price was higher than original estimated resale price. 10. FORECLOSURE REPORT UPDATE - FYI I L COMMUNICATIONS a. Census Fact Finder for Hutchinson b. Letter from Hometown c. MHFA Impact Fund application submitted for funding the acquisition/demo /rebuild of the tax forfeiture property in the NE part of the City. 10. ADJOURNMENT LaVonne Hansen moved to adjourn and LouAnn Holmquist seconded. There being no other business, Chairman Becky Felling declared the meeting adjourned. Recorded by Jean Ward, HRA Executive Director LaVonne Hansen, Secretary/Treasurer July 16, 2013 Minutes o Page 2 f 2 -/f, -/f,