HomeMy WebLinkAbout2021-11-08 City Council Meeting PacketAGENDA
MAPLEWOOD CITY COUNCIL
7:00 P.M. Monday, November 08, 2021
City Hall, Council Chambers
Meeting No. 21-21
A. CALL TO ORDER
B. PLEDGE OF ALLEGIANCE
C. ROLL CALL
D. APPROVAL OF AGENDA
E. APPROVAL OF MINUTES
1. October 25, 2021 City Council Meeting Minutes
F. APPOINTMENTS AND PRESENTATIONS
1. Administrative Presentations
a. Council Calendar Update
2. Council Presentations
3. Swearing -In Ceremony - Police Officers Jeremiah Johnson and Joseph Pasdo
4. Swearing -In Ceremony - Police Lieutenant Michael Hoemke
5. Swearing -In Ceremony - Police Deputy Chief Daniel Busack
6. Resolution of Appreciation for HEDC Commissioner Dennis Unger
G. CONSENT AGENDA — Items on the Consent Agenda are considered routine and non-
controversial and are approved by one motion of the council. If a councilmember
requests additional information or wants to make a comment regarding an item, the vote
should be held until the questions or comments are made then the single vote should be
taken. If a councilmember objects to an item it should be removed and acted upon as a
separate item.
1. Approval of Claims
2. Certification of Delinquent Trash and Miscellaneous Accounts Receivable
3. On -Sale Wine License for Omega Sushi LLC, 3001 White Bear Avenue, Ste 27
4. Resolution Accepting the Labor -Management Committee's Recommendation for
2022 Employee Insurance Benefits
H. PUBLIC HEARINGS — If you are here fora Public Hearing please familiarize yourself
with the Rules of Civility printed on the back of the agenda. Sign in with the City Clerk
before addressing the council. At the podium please state your name and address
clearly for the record. All comments/questions shall be posed to the Mayor and Council.
The Mayor will then direct staff, as appropriate, to answer questions or respond to
comments.
None
UNFINISHED BUSINESS
None
J. NEW BUSINESS
None
K. AWARD OF BIDS
None
L. ADJOURNMENT
Sign language interpreters for hearing impaired persons are available for public hearings upon
request. The request for this must be made at least 96 hours in advance. Please call the City Clerk's
Office at 651.249.2000 to make arrangements. Assisted Listening Devices are also available. Please
check with the City Clerk for availability.
RULES OF CIVILITY FOR THE CITY COUNCIL, BOARDS, COMMISSIONS AND OUR COMMUNITY
Following are rules of civility the City of Maplewood expects of everyone appearing at Council
Meetings - elected officials, staff and citizens. It is hoped that by following these simple rules, everyone's
opinions can be heard and understood in a reasonable manner. We appreciate the fact that when
appearing at Council meetings, it is understood that everyone will follow these principles:
Speak only for yourself, not for other council members or citizens - unless specifically tasked by
your colleagues to speak for the group or for citizens in the form of a petition.
Show respect during comments and/or discussions, listen actively and do not interrupt or talk
amongst each other.
Be respectful of the process, keeping order and decorum. Do not be critical of council members,
staff or others in public.
Be respectful of each other's time keeping remarks brief, to the point and non -repetitive.
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MINUTES
MAPLEWOOD CITY COUNCIL
7:00 P.M. Monday, October 25, 2021
City Hall, Council Chambers
Meeting No. 20-21
CALL TO ORDER
A meeting of the City Council was held in the City Hall Council Chambers and was called to
order at 7:03 p.m. by Mayor Abrams.
Mayor Abrams noted the Covid-19 safety procedures the council was taking to hold city council
meetings and the options to hold virtual meetings in the future if needed.
PLEDGE OF ALLEGIANCE
ROLL CALL
Marylee Abrams, Mayor Present
Rebecca Cave, Councilmember Present
Kathleen Juenemann, Councilmember Present
William Knutson, Councilmember Present
Nikki Villavicencio, Councilmember Present
APPROVAL OF AGENDA
F4 was removed from the agenda.
The following items were added to Council Presentations:
Trunk or Treat Event
Stuff in the Street
Councilmember Juenemann moved to approve the agenda as amended.
Seconded by Councilmember Knutson Ayes — All
The motion passed.
APPROVAL OF MINUTES
1. October 11, 2021 City Council Workshop Meeting Minutes
Councilmember Juenemann moved to approve the October 11, 2021 City Council Workshop
Meeting Minutes as submitted.
Seconded by Councilmember Knutson Ayes — All
The motion passed.
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2. October 11, 2021 City Council Meeting Minutes
Councilmember Knutson moved to approve the October 11, 2021 City Council Meeting Minutes
as submitted.
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
F. APPOINTMENTS AND PRESENTATIONS
1. Administrative Presentations
a. Council Calendar Update
City Manager Coleman gave an update to the council calendar and reviewed other topics of
concern or interest requested by councilmembers.
2. Council Presentations
Trunk or Treat Event
Mayor Abrams invited the public to the Trunk or Treat event, sponsored by the Public Safety
Department, taking place on October 31 from 1-4 p.m.
Stuff in the Street
Councilmember Juenemann asked residents to please pick up trash in the streets and near
their properties and reminded residents that blowing leaves into the streets is not allowed.
3. Presentation from Dr. Jenny Loeck, Superintendent of Roseville Area Schools
City Manager Coleman introduced the topic. Shari Thompson, Director of Business Services
with District 623, relayed Dr. Loeck's regrets for her absence, and gave the presentation.
No Action Required.
4. Fix It Launch Update
Item removed.
5. Resolution for Commissioner Appointments
City Manager Coleman gave the staff report.
Councilmember Cave moved to approve the resolution to appoint the candidates to the
commissions.
Resolution 21-10-1998
RESOLUTION
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BE IT RESOLVED THAT THE CITY COUNCIL OF MAPLEWOOD, MINNESOTA:
Hereby appoints the following individuals, who the Maplewood City Council has
reviewed, to be appointed to the following commission or board:
Heritage Preservation Commission
Barbara Kearn
David Hughes
term expires April 30, 2024
term expires April 30, 2022
Housing & Economic Development Commission
Holly Koep
term expires September 30, 2024
Environmental & Natural Resources Commission
Emma Broadnax
Benjamin Guell
Seconded by Councilmember Juenemann
The motion passed.
term expires September 30, 2024
term expires September 30, 2024
Ayes — All
6. Resolution of Appreciation for Keith Buttleman, Environmental and Natural
Resources Commissioner
Environmental Planner Finwall gave the staff report.
Councilmember Juenemann moved to approve the Resolution of Appreciation for Keith
Buttleman. Environmental and Natural Resources Commissioner.
Resolution 21-10-1999
RESOLUTION OF APPRECIATION
WHEREAS, Keith Buttleman has been a member of the Maplewood Environmental and
Natural Resources Commission for five years and eight months, serving from January 25,
2016, to September 30, 2021. Mr. Buttleman has served faithfully in those capacities; and
WHEREAS, the Environmental and Natural Resources Commission and City Council
have appreciated his experience, insights and good judgment; and
WHEREAS, Mr. Buttleman has freely given of his time and energy, without
compensation, for the betterment of the City of Maplewood; and
WHEREAS, Mr. Buttleman has shown dedication to his duties and has consistently
contributed his leadership and efforts for the benefit of the City.
NOW, THEREFORE, IT IS HEREBY RESOLVED for and on behalf of the City of
Maplewood, Minnesota, and its citizens that Keith Buttleman is hereby extended our gratitude
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and appreciation for his dedicated service.
Seconded by Councilmember Knutson Ayes — All
The motion passed.
G. CONSENT AGENDA — Items on the Consent Agenda are considered routine and non-
controversial and are approved by one motion of the council. If a councilmember requests
additional information or wants to make a comment regarding an item, the vote should be held
until the questions or comments are made then the single vote should be taken. If a
councilmember objects to an item it should be removed and acted upon as a separate item.
Agenda item G8 was highlighted.
Councilmember Knutson moved to approve agenda items G1 -G8.
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
1. Approval of Claims
Councilmember Knutson moved to approve the approval of claims.
ACCOUNTS PAYABLE:
$ 843,998.67 Checks # 108056 thru # 108084
dated 10/12/21
$ 1,240,709.57 Disbursements via debits to checking account
dated 10/04/21 thru 10/17/21
$ 2,084,708.24 Total Accounts Payable
PAYROLL
$ 598,089.26 Payroll Checks and Direct Deposits dated 10/15/21
$ 598,089.26 Total Payroll
$ 2,682,797.50 GRAND TOTAL
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
2. Financial Report for Month Ended September 30, 2021
No Action Required.
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3. Conditional Use Permit Review, Trails Edge Apartments, 3000 Country View Drive
Councilmember Knutson moved to approve the CUP review for Trail Edge Apartments located
at 3000 Country View Drive and review again only if a problem arises or a major change is
proposed.
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
4. Contract for Purchase of Gas and Diesel Fuel with the State of Minnesota Fixed
Price Fuel Program for 2022
Councilmember Knutson moved to direct the Mayor and City Manager to enter into a contract
with the State of Minnesota Fixed Price Fuel Program for 2022 fuel purchases.
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
5. Purchase of Front End Wheel Loader
Councilmember Knutson moved to approve the purchase of one front end wheel loader and
direct the Mavor and Citv Manaaer to enter into a contract with Ziealer Inc. for the purchase
under MN State Contract #171599 in the amount of $285,060.00.
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
6. Resolution for Reduction of Retainage on Existing Construction Contract, County
Road B and Arcade Street Improvements, City Project 19-22
Councilmember Knutson moved to approve the resolution for reduction of retainage on existing
construction contract for the County Road B and Arcade Street Improvements, City Project 19-
22.
Resolution 21-10-2000
RESOLUTION
REDUCTION OF RETAINAGE ON EXISTING CONSTRUCTION
CONTRACT PROJECT 19-22
WHEREAS, the City Council of Maplewood, Minnesota has heretofore ordered
Improvement Project 19-22, County Road B and Arcade Street Improvements, and has let a
construction contract pursuant to Minnesota Statutes, Chapter 429, and
WHEREAS, the contractor, Valley Paving, Inc., has completed the requirements of the
project construction work,
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NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF MAPLEWOOD,
M I N N ESOTA, that:
1. A reduction in retainage on the construction contract is hereby authorized to be
reduced, at the discretion of the City Engineer, to $1,000.00
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
7. Encroachment Agreement with 2263 Dahl Avenue East
Councilmember Knutson moved to approve the encroachment agreement with the property
owners of 2263 Dahl Avenue and authorize the Mayor and City Manager to sign the attached
agreement.
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
8. 2022 SCORE Grant Funding Application
Councilmember Knutson moved to approve the 2022 SCORE grant funding application.
Seconded by Councilmember Juenemann Ayes — All
The motion passed.
H. PUBLIC HEARINGS — If you are here fora Public Hearing please familiarize yourself with the
Rules of Civility printed on the back of the agenda. Sign in with the City Clerk before
addressing the council. At the podium please state your name and address clearly for the
record. All comments/questions shall be posed to the Mayor and Council. The Mayor will then
direct staff, as appropriate, to answer questions or respond to comments.
1. EDA Tax Increment Financing District No. 1-15
a. Public Hearing
b. Resolution Approving Modification of the Development District Program for
Development District No. 1 and the Tax Increment Financing Plan for TIF
District No. 1-15
Community Development Director Thomson gave the presentation. Keith Dahl, Municipal
Advisor with Ehlers, provided further information.
Mayor Abrams opened public hearing. The following people spoke:
Kathleen Coolidge — 2485 Londin Lane #213
Mayor Abrams closed the public hearing.
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Councilmember Knutson moved to approve the Resolution Approving Modification of the
Development District Program for Development District No. 1 and the Tax Increment Financing
Plan for Tax Increment Financing District No. 1-15.
Resolution 21-10-2001
RESOLUTION APPROVING MODIFICATION OF THE DEVELOPMENT DISTRICT
PROGRAM FOR DEVELOPMENT DISTRICT NO. 1 AND THE TAX INCREMENT
FINANCING PLAN FOR TAX INCREMENT FINANCING DISTRICT NO. 1-15
BE IT RESOLVED By the City Council of the City of Maplewood, Minnesota as follows:
Section 1. Recitals.
1.01. The City Council of the city of Maplewood (the "City") established the
Maplewood Economic Development Authority ("MEDA") to promote
development and redevelopment within the community.
1.02. On July 22, 2019 the City adopted a modified Enabling Resolution for MEDA,
giving it the authority of an economic development authority under Minnesota
Statutes, sections 469.090 through 469.1081 (the "EDA Act"), of a housing and
redevelopment authority under Minnesota Statutes, sections 469.001 through
469.047 (the "HRA Act"); and of a city under Minnesota Statutes, sections
469.124 through 469.134 (the "City Development Districts Act").
1.03. In response to a proposal to redevelop a site on Londin Lane previously used as
a fire station for an affordable multifamily housing project, MEDA determined to
establish a tax increment financing district to assist the project.
1.04. MEDA and the City investigated the facts and caused to be prepared a
modification to the Development District Program (the "Development Program")
for Development District No. 1 (the "Project") and a tax increment financing plan
(the "TIF Plan") for Tax Increment Financing District No. 1-15 (the "TIF District'),
describing the assistance which may be provided to encourage redevelopment
within the Project.
1.05. All actions required by law to be performed prior to the adoption of the modified
Development Program and the TIF Plan and establishment of the TIF District
have been performed, including approval of the TIF Plan by MEDA at its
meeting on October 25, 2021.
1.06. MEDA and the City notified Ramsey County and Independent School District
No. 622 of the public hearing on the modified Development Program and TIF
Plan to be held before the City Council on October 25, 2021.
1.07. The modified Development Program and TIF Plan are contained in a document
entitled "Modification to the Development Program, Development District No. 1
and Tax Increment Financing (TIF) Plan, Establishment of Tax Increment
Financing District No. 1-15 (a housing district)" dated October 25, 2021 and on
file at city hall.
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1.08. The City Council has fully reviewed the contents of the modified Development
Program and TIF Plan and has on October 25, 2021 conducted a public hearing
thereon at which the views of all interested persons were received orally or in
writing.
Section 2. Findings Relating to the Adoption of the Modified Development Program.
2.01. The City finds that the modified Development Program, which consists of
inclusion of an additional tax increment financing district, continues to be
consistent with the City's comprehensive plan.
2.02. The City finds that the adoption of the modified Development Program would
promote redevelopment of a property within the Development District and is in
the vital interests of the community as a whole.
Section 3. Findings Relating to the Establishment of Tax Increment Financing District
No. 1-15.
3.01. The City finds and determines that it is necessary and desirable for the sound
and orderly development of the Development District and the community as a
whole, and for the protection and preservation of the public health, safety, and
general welfare, that the authority of the TIF Act be exercised by MEDA and the
City to establish Tax Increment Financing District No. 1-15.
3.02. The City further finds and determines, and it is the reasoned opinion of the City,
that the redevelopment proposed in the TI F Plan for the TI F District could not
reasonably be expected to occur solely through private investment within the
reasonably foreseeable future and that the increased market value of the land
within the TIF District that could reasonably be expected to occur without the
use of tax increment financing would be less than the increase in the market
value estimated to result from the proposed redevelopment, after subtracting the
present value of the projected tax increments for the maximum duration of the
TIF District, and that therefore the use of tax increment financing is necessary to
assist the project. The City adopts and hereby incorporates the findings and but
for qualifications included as Appendix C to the TIF Plan.
3.03. The expenditures proposed to be financed through tax increment financing are
necessary to permit MEDA and the City to realize the full potential of the
Development District in terms of development intensity, diversity of uses and tax
base and to facilitate the redevelopment of land with an affordable housing
project which is consistent with the comprehensive plan.
3.04. The TIF Plan for the TIF District will afford maximum opportunity, consistent with
the sound needs of the City as a whole, for redevelopment of the Development
District by private enterprise.
3.05. The TI F Plan for the TI F District conforms to the general plan for the
development and redevelopment of Maplewood as a whole. The developer's
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plans for a multifamily residential building is fully consistent with the city's
comprehensive plan.
3.06. The City has relied upon the written representation made by the developer,
review of the developer's proforma, the opinions and recommendations of City
staff and consultants, and the personal knowledge of the members of the City
Council in reaching its conclusions regarding the TIF Plan and the establishment
of the TIF District.
3.07. TIF District No. 1-15 is a housing tax increment financing district within the
meaning of Minnesota Statutes, section 469.174, subd. 11.
Section 4. Approval of Modified Development Program and Tax Increment Financing Plan;
Establishment of Tax Increment Financing District No. 1-15;
4.01. The modified Development Program for Development District No. 1 is hereby
approved.
4.02. The TIF Plan for TIF District No. 1-15 is hereby approved, as adopted by MEDA.
Tax Increment Financing District No. 1-15 is hereby established.
4.03. The Executive Director of MEDA is authorized and directed to transmit a
certified copy of this resolution together with a certified copy of the modified
Development Program and the TIF Plan to Ramsey County with a request that
the original tax capacity of the property within TIF District No. 1-15 be certified to
MEDA pursuant to Minnesota Statutes, section 469.177, subd. 1 and to file a
copy of the modified Development Program and the TIF Plan for TIF District
No. 1-15 with the Minnesota department of revenue.
Seconded by Councilmember Cave Ayes — All
The motion passed.
UNFINISHED BUSINESS
1. Resolution Awarding the Sale of G.O. Refunding Bonds, Series 2021B
Finance Director Paulseth gave the staff report. Bruce Kimmel, Senior Municipal Advisor with
Ehlers, provided additional information.
Mayor Abrams moved to approve the Resolution Awarding the Sale of General Obligation
Refunding Bonds, Series 2021 B in the Original Aggregate Principal Amount of $8,090,000;
Fixing Their Form and Specifications; Directing Their Execution and Delivery; Providing for
Their Payment; and Providing for the Redemption of Bonds Refunded Thereby.
Resolution 21-10-2002
AWARDING THE SALE OF GENERAL OBLIGATION REFUNDING BONDS, SERIES 2021B,
IN THE ORIGINAL AGGREGATE PRINCIPAL AMOUNT OF $8,090,000; FIXING THEIR
FORM AND SPECIFICATIONS; DIRECTING THEIR EXECUTION AND DELIVERY;
PROVIDING FOR THEIR PAYMENT; AND PROVIDING FOR THE REDEMPTION OF BONDS
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REFUNDED THEREBY
BE IT RESOLVED by the City Council (the "City Council") of the City of Maplewood, Ramsey County,
Minnesota (the "City") as follows:
Section 1. Findings; Sale of Bonds.
1.01. Authorization of Sale of Bonds. Pursuant to a resolution adopted by the City Council on
September 27, 2021, the City Council gave preliminary approval to the issuance of the City's General Obligation
Refunding Bonds, Series 2021B (the "Bonds"), in the proposed aggregate principal amount of $8,275,000,
pursuant to Minnesota Statutes, Section 412.301, and Minnesota Statutes, Chapters 429, 469, and 475, including
specifically Section 475.67, subdivision 3, all as amended (collectively, the "Act"), to issue bonds to refund certain
outstanding obligations of the City, as follows:
(a) General Obligation Bonds, Series 2012A ("Series 2012A Bonds"), dated July 1, 2012 and
issued on July 10, 2012, in the original aggregate principal amount of $5,780,000, pursuant to Section
412.301 of the Act ("Section 412.301") Chapter 429 of the Act ("Chapter 429"), and Chapter 475 of the
Act ("Chapter 475"), the proceeds of which were used to finance (i) various street improvement projects
within the City (the "2012 Improvements"), and (ii) the purchase of various capital equipment (the "2012
Equipment") (the portion of the Series 2012A Bonds that financed the 2012 Equipment is no longer
outstanding);
(b) General Obligation Bonds, Series 2013A ("Series 2013A Bonds"), dated July 18, 2013,
issued in the original aggregate principal amount of $6,180,000, pursuant to Chapter 429 and Chapter 475,
including specifically Section 475.521, as amended ("Section 475.521"), the proceeds of which were used
to (i) refund the City's General Obligation Capital Improvement Plan Bonds, Series 2004D, dated August
1, 2004, and thereby refinance an addition to the City's public works building (the "2004 CIP
Improvements"); (ii) finance the expansion of and improvements to the City's existing police department
building (the "2013 CIP Improvements"); and (iii) finance various improvement projects within the City
(the "2013 Improvements"); and
(c) General Obligation Bonds, Series 2014A (the "Series 2014A Bonds"), dated August 1,
2014 and issued on August 14, 2014 in the aggregate principal amount of $7,745,000, pursuant to
Section 412.301, Chapter 429, Chapter 469 of the Act ("Chapter 469"), and Chapter 475, including
specifically Section 475.521, the proceeds of which were used to finance: (i) various street improvement
projects (the "2014 Improvements"); (ii) the purchase of various capital equipment (the "2014
Equipment"); (iii) improvements outlined in the City's Capital Improvement Plan (the "2014 CIP
Improvements"); and (iv) certain capital and administration costs, consisting of public improvements
outlined in the City's tax increment financing plan (the "2014 TIF Improvements") for Tax Increment
Financing District No. 1-12 (the "TIF District").
The Series 2012A Bonds, Series 2013A Bonds, and Series 2014A Bonds (collectively, the "Prior Bonds")
are subject to redemption at the option of the City on February 1, 2022, and on that date will be outstanding in the
aggregate principal amount of $8,655,000.
The City is authorized by Section 475.67, subdivision 3 of the Act ("Section 475.67, subdivision 3"), to
issue and sell its general obligation bonds to refund obligations and the interest thereon before the due date of the
obligations, if consistent with covenants made with the holders thereof, when determined by the City Council to
be necessary or desirable for the reduction of debt service costs to the City or for the extension or adjustment of
maturities in relation to the resources available for their payment.
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It is necessary and desirable for the reduction of debt service costs to the City to issue its General
Obligation Refunding Bonds, Series 2021B (the "Bonds"), in the proposed original aggregate principal amount of
$8,275,000, pursuantto the Act and specifically Section 475.67, subdivision 3, and apply the proceeds ofthe Bonds
to the redemption and prepayment of the outstanding Prior Bonds (the "Refunded Bonds"), in the aggregate
principal amount of $8,655,000, on February 1, 2022.
The City is authorized by Section 475.60, subdivision 2(9) of the Act to negotiate the sale of the Bonds, it
being determined that the City has retained an independent municipal advisor in connection with such sale. The
actions of the City staff and municipal advisor in negotiating the sale of the Bonds are ratified and confirmed in
all aspects.
1.02. Award to the Purchaser and Interest Rates. The proposal of BOK Financial Securities, Inc.,
Milwaukee, Wisconsin (the "Purchaser"), to purchase the Bonds is determined to be a reasonable offer and is accepted,
the proposal being to purchase the Bonds at a price of $8,738,610.76 (par amount of $8,090,000.00, plus original
issue premium of $703,725.40, less an underwriter's discount of $55,114.64), plus accrued interest to date of
delivery, if any, for Bonds bearing interest as follows:
Year
Interest Rate
Year
Interest Rate
2023
3.000%
2029
3.000%
2024
3.000
2030
3.000
2025
3.000
2031
2.000
2026
3.000
2033*
2.000
2027
3.000
2035*
2.000
2028
3.000
U0771101,71001=14
True interest cost: 1.1725482%
1.03. Purchase Contract. The amount proposed by the Purchaser in excess of the minimum bid shall be
credited to the Debt Service Fund hereinafter created or the Redemption Fund hereinafter created, unless the funds
are determined to be deposited in another fund by the City's Finance Director (the "Finance Director") in
consultation with Ehlers & Associates, Inc., the City's municipal advisor (the "Municipal Advisor"). The Finance
Director is directed to retain the good faith check or deposit of the Purchaser, pending completion of the sale of
the Bonds. The Mayor and City Manager are directed to execute a contract with the Purchaser on behalf of the
City.
1.04. Terms and Principal Amounts of Bonds. The City will forthwith issue and sell the Bonds pursuant to
the Act in the original aggregate principal amount of $8,090,000, originally dated November 18, 2021, in the
denomination of $5,000 each or any integral multiple thereof, numbered No. R-1, upward, bearing interest as above
set forth, and maturing serially on February 1 in the years and amounts as follows:
Year Amount Year Amount
2023 $955,000
2029 $790,000
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2024
985,000
2030
715,000
2025
895,000
2031
385,000
2026
885,000
2033*
325,000
2027
910,000
2035*
335,000
2028
910,000
* Term Bonds
(a) $890,000 in principal amount ofthe Bonds (the "Series 2012A Refunding Bonds"), maturing
serially on February 1 in the years and amounts set forth below, are being used to achieve the current refunding
of the Series 2012A Bonds, and thereby refinance the 2012 Improvements;
Year Amount Year Amount
2023 $140,000 2026 $155,000
2024 145,000 2027 160,000
2025 155,000 2028 135,000
(b) $2,615,000 in principal amount of the Bonds (the "Series 2013A Refunding Bonds"),
maturing serially on February 1 in the years and amounts set forth below, are being used to achieve the current
refunding of the Series 2013A Bonds:
Year Amount Year Amount
2023 $335,000 2028 $305,000
2024 330,000 2029 315,000
2025 295,000 2030 220,000
2026 290,000 2031 225,000
2027 300,000
(i) Furthermore, $85,000 of the principal of the Series 2013A Refunding Bonds (the
"Series 2013A 2004 CIP Portion Refunding Bonds") shall be payable on the February 1 in the years
and installment amounts as follows and will be allocated to refinancing the 2004 CIP Improvements:
Year Amount Year Amount
2023 $50,000 2024 $35,000
(ii) $1,830,000 of the principal of the Series 2013A Refunding Bonds (the "Series 2013A
CIP Portion Refunding Bonds") shall be payable on the February 1 in the years and installment
amounts as follows and will be allocated to refinancing the 2013 CIP Improvements:
Year Amount Year Amount
2023
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$190,000
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2028
$205,000
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2024
195,000 2029 210,000
2025
190,000 2030 220,000
2026
195,000 2031 225,000
2027
200,000
(iii) The remainder of the principal of the Series 2013A Refunding Bonds in the amount
of $700,000 (the "Series 2013A Improvement Portion Refunding Bonds") shall be payable on the
February 1 in the years and installment amounts as follows and will be allocated to refinancing the
2013 Improvements:
Year Amount
Year
Amount
2023
$ 95,000 2027 $100,000
2024
100,000 2028 100,000
2025
105,000 2029 105,000
2026
95,000
(c) The remainder of the Bonds in the principal amount of $4,585,000 (the "Series 2014A
Refunding Bonds"), maturing serially on February 1 in the years and amounts set forth below, are being used
to achieve the current refunding of the Series 2014A Bonds:
Year
Amount
Year
Amount
2023
$480,000
2028
$470,000
2024
510,000
2029
475,000
2025
445,000
2030
495,000
2026
440,000
2033
325,000*
2027
450,000
2035
335,000*
* Term Bonds
(i) Furthermore, $1,865,000 of the principal of the Series 2014A Refunding Bonds (the
"Series 2014A Improvement Portion Refunding Bonds") shall be payable on the February 1 in the
years and installment amounts as follows and will be allocated to refinancing the 2014
Improvements:
Year Amount
Year
Amount
2023
$ 220,000
2027
$230,000
2024
235,000
2028
240,000
2025
225,000
2029
240,000
2026
225,000
2030
250,000
(ii) $140,000 of the principal of the Series 2014A Refunding Bonds (the "Series 2014A
Equipment Portion Refunding Bonds") shall be payable on February 1 in the years and installment
amounts as follows and will be allocated to refinancing the 2014 Equipment:
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Year Amount
2023 $75,000
Year Amount
2024 $65,000
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(iii) $1,920,000 of the principal of the Series 2014A Refunding Bonds (the "Series
2014A CIP Portion Refunding Bonds") shall be payable on February 1 in the years and installment
amounts as follows and will be allocated to refinancing the 2014 CIP Improvements:
Year Amount
* Term Bonds
Year
Amount
2023
$110,000
2029
$150,000
2024
130,000
2030
155,000
2025
135,000
2031
160,000
2026
135,000
2033*
325,000
2027
140,000
2035*
335,000
2028
145,000
(iv) The remainder ofthe principal ofthe Series 2014A Refunding Bonds in the principal
amount $660,000 (the "Series 2014A TIF Portion Refunding Bonds") shall be payable on February
1 in the years and installment amounts as follows and will be allocated to refinancing the 2014 TIF
Improvements:
Year Amount
2023
$75,000
2024
80,000
2025
85,000
2026
80,000
Year
Amount
2027
$80,000
2028
85,000
2029
85,000
2030
90,000
1.05. Optional Redemption. The City may elect on February 1, 2030, and on any day thereafter to prepay
Bonds due on or after February 1, 2031. Redemption may be in whole or in part and if in part, at the option of the City
and in such manner as the City shall determine. Prepayments will be at a price of par plus accrued interest
1.06. Mandatory Redemption; Term Bonds. The Bonds maturing on February 1, 2033, and February 1,
2035, shall hereinafter be referred to as the "Term Bonds." The principal amount of the Term Bonds subject to
mandatory sinking fund redemption on any date may be reduced through earlier optional redemptions, with any partial
redemptions of the Term Bonds credited against future mandatory sinking fund redemption of such Term Bonds in
such order as the City shall determine. The Term Bonds are subject to mandatory sinking fund redemption and shall
be redeemed in part at par plus accrued interest on February 1 of the following years and in the principal amounts as
follows:
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Sinking Fund Installment Date
February 1, 2033 Term Bond Principal Amount
2032 $ 160,000
2033* 165,000
* Maturity
February 1, 2035 Term Bond Principal Amount
2034 $ 165,000
2035* 170,000
* Maturity
Section 2. Registration and Payment.
2.01. Registered Form. The Bonds shall be issued only in fully registered form. The interest thereon and,
upon surrender of each Bond, the principal amount thereof, is payable by check or draft issued by the Registrar
described herein.
2.02. Dates, Interest Payment Dates. The Bonds will be dated as of the last interest payment date preceding
the date of authentication to which interest on the Bond has been paid or made available for payment, unless (i) the
date of authentication is an interest payment date to which interest has been paid or made available for payment, in
which case the Bond will be dated as of the date of authentication, or (ii) the date of authentication is prior to the first
interest payment date, in which case the Bond will be dated as of the date of original issue. The interest on the Bonds
is payable on February 1 and August 1 of each year, commencing August 1, 2022, to the registered owners of record
thereof as of the close of business on the fifteenth day of the immediately preceding month, whether or not that day is
a business day.
2.03. Registration. The City will appoint a bond registrar, transfer agent, authenticating agent and paying
agent (the "Registrar"). The effect of registration and the rights and duties of the City and the Registrar with respect
thereto are as follows:
(a) Register. The Registrar must keep at its principal corporate trust office a bond register in
which the Registrar provides for the registration of ownership of Bonds and the registration of transfers and
exchanges of Bonds entitled to be registered, transferred, or exchanged.
(b) Transfer of Bonds. Upon surrender for transfer of a Bond duly endorsed by the registered
owner thereof or accompanied by a written instrument of transfer, in form satisfactory to the Registrar, duly
executed by the registered owner thereof or by an attorney duly authorized by the registered owner in writing,
the Registrar will authenticate and deliver, in the name of the designated transferee or transferees, one or more
new Bonds of a like aggregate principal amount and maturity, as requested by the transferor. The Registrar
may, however, close the books for registration of any transfer after the fifteenth day of the month preceding
each interest payment date and until that interest payment date.
(c) Exchange of Bonds. When Bonds are surrendered by the registered owner for exchange the
Registrar shall authenticate and deliver one or more new Bonds of a like aggregate principal amount and
maturity as requested by the registered owner or the owner's attorney in writing.
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(d) Cancellation. Bonds surrendered upon transfer or exchange shall be promptly cancelled by
the Registrar and thereafter disposed of as directed by the City.
(e) Improper or Unauthorized Transfer. When a Bond is presented to the Registrar for transfer,
the Registrar may refuse to transfer the Bond until the Registrar is satisfied that the endorsement on the Bond
or separate instrument of transfer is valid and genuine and that the requested transfer is legally authorized.
The Registrar will incur no liability for the refusal, in good faith, to make transfers which it, in its judgment,
deems improper or unauthorized.
(f) Persons Deemed Owners. The City and the Registrar may treat the person in whose name a
Bond is registered in the bond register as the absolute owner of the Bond, whether the Bond is overdue or not,
for the purpose of receiving payment of, or on account of, the principal of and interest on the Bond and for all
other purposes, and payments so made to the registered owner or upon the registered owner's order will be
valid and effectual to satisfy and discharge the liability upon the Bond to the extent of the sum or sums so
paid.
(g) Taxes, Fees and Charges. The Registrar may impose a charge upon the owner thereof for a
transfer or exchange of Bonds sufficient to reimburse the Registrar for any tax, fee or other governmental
charge required to be paid with respect to the transfer or exchange.
(h) Mutilated, Lost, Stolen or Destroyed Bonds. If a Bond becomes mutilated or is destroyed,
stolen or lost, the Registrar shall deliver a new Bond of like amount, number, maturity date and tenor in
exchange and substitution for and upon cancellation of the mutilated Bond or in lieu of and in substitution for
a Bond destroyed, stolen or lost, upon the payment of the reasonable expenses and charges of the Registrar in
connection therewith; and, in the case of a Bond destroyed, stolen or lost, upon filing with the Registrar of
evidence satisfactory to it that the Bond was destroyed, stolen or lost, and of the ownership thereof, and upon
furnishing to the Registrar an appropriate bond or indemnity in form, substance and amount satisfactory to it
and as provided by law, in which both the City and the Registrar must be named as obligees. Bonds so
surrendered to the Registrar shall be cancelled by the Registrar and evidence of such cancellation must be
given to the City. If the mutilated, destroyed, stolen or lost Bond has already matured or been called for
redemption in accordance with its terms it is not necessary to issue a new Bond prior to payment.
(i) Redemption. In the event any of the Bonds are called for redemption, notice thereof
identifying the Bonds to be redeemed shall be given by the Registrar by mailing a copy of the redemption
notice by first class mail (postage prepaid) to the registered owner of each Bond to be redeemed at the
address shown on the registration books kept by the Registrar and by publishing the notice if required by
law. Failure to give notice by publication or by mail to any registered owner, or any defect therein, shall
not affect the validity of the proceedings for the redemption of Bonds. Bonds so called for redemption
shall cease to bear interest after the specified redemption date, provided that the funds for the redemption
are on deposit at the place of payment at that time.
2.04. Appointment of Initial Registrar. The City appoints Bond Trust Services Corporation, Roseville,
Minnesota, as the initial Registrar. The Mayor and the City Manager are authorized to execute and deliver, on behalf
of the City, a contract with the Registrar. Upon merger or consolidation of the Registrar with another corporation, if
the resulting corporation is a bank or trust company authorized by law to conduct such business, the resulting
corporation is authorized to act as successor Registrar. The City agrees to pay the reasonable and customary charges
of the Registrar for the services performed. The City reserves the right to remove the Registrar upon 30 days' notice
and upon the appointment of a successor Registrar, in which event the predecessor Registrar must deliver all cash and
Bonds in its possession to the successor Registrar and must deliver the bond register to the successor Registrar. On or
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before each principal or interest due date, without further order of this City Council, the City Manager must transmit
to the Registrar moneys sufficient for the payment of all principal and interest then due.
2.05. Execution, Authentication and Delivery. The Bonds shall be prepared under the direction of the City
Manager and executed on behalf of the City by the signatures of the Mayor and the City Manager, provided that those
signatures may be printed, engraved, or lithographed facsimiles of the originals. If an officer whose signature or a
facsimile of whose signature appears on the Bonds ceases to be such officer before the delivery of a Bond, that signature
or facsimile shall nevertheless be valid and sufficient for all purposes, the same as if the officer had remained in office
until delivery. Notwithstanding such execution, a Bond shall not be valid or obligatory for any purpose or entitled to
any security or benefit under this resolution unless and until a certificate of authentication on the Bond has been duly
executed by the manual signature of an authorized representative of the Registrar. Certificates of authentication on
different Bonds need not be signed by the same representative. The executed certificate of authentication on a Bond
is conclusive evidence that it has been authenticated and delivered under this resolution. When the Bonds have been
so prepared, executed and authenticated, the City Manager shall deliver the same to the Purchaser upon payment of
the purchase price in accordance with the contract of sale heretofore made and executed, and the Purchaser is not
obligated to see to the application of the purchase price.
Section 3. Form of Bond.
3.01. Execution of the Bonds. The Bonds shall be printed or typewritten in substantially the form attached
hereto as EXHIBIT B.
3.02. Approving Legal Opinion. The City Manager is authorized and directed to obtain a copy of the
proposed approving legal opinion of Kennedy & Graven, Chartered, Minneapolis, Minnesota, and cause the opinion
to be printed on or accompany each Bond.
Section 4. Bonds; Security; Covenants.
4.01. Debt Service Fund. The Bonds are payable from the General Obligation Refunding Bonds,
Series 2021B Debt Service Fund (the "Debt Service Fund") hereby created. The Debt Service Fund shall be
administered and maintained by the Finance Director as a bookkeeping account separate and apart from all other funds
maintained in the official financial records of the City. The Debt Service Fund will be maintained in the manner herein
specified until all of the Refunded Bonds have been paid and until all of the Bonds and the interest thereon have been
fully paid. The City will maintain the following subaccounts in the Debt Service Fund: the "Improvement Account,"
the "Equipment Account," the "CIP Account," and the "TIF Revenue Account." Amounts in the Improvement
Account are irrevocably pledged to the Series 2012A Refunding Bonds, the Series 2013A Improvement Portion
Refunding Bonds, and the Series 2014A Improvement Portion Refunding Bonds (collectively, the "Improvement
Refunding Bonds"). Amounts in the Equipment Account are irrevocably pledged to the Series 2014A Equipment
Portion Refunding Bonds (the "Equipment Refunding Bonds"). Amounts in the Capital Improvement Account are
irrevocably pledged to the Series 2013A 2004 CIP Portion Refunding Bonds, the Series 2013A CIP Portion Refunding
Bonds, and the Series 2014A CIP Portion Refunding Bonds (collectively, the "CIP Refunding Bonds"). Amounts in
the TIF Revenue Account are irrevocably pledged to the Series 2014A TIF Portion Refunding Bonds (the "TIF
Refunding Bonds")
(a) Improvement Account. To the Improvement Account of the Debt Service Fund there is
hereby pledged and irrevocably appropriated and there will be credited: (i) following the Redemption Date
(as defined in Section 4.11 of this resolution), special assessments (the "Assessments") collected for the
2012 Improvements, the 2013 Improvements, and the 2014 Improvements (together, the "Refinanced
Improvements") pursuant to the resolutions authorizing the issuance and sale of the Series 2012A Bonds,
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Series 2013A Bonds, and Series 2014A Bonds, respectively (each, a "Prior Resolution"); (ii) proceeds of
ad valorem taxes hereinafter levied for the payment of the Improvement Refunding Bonds and interest
thereon; (iii) a pro rata portion of amounts over the minimum purchase price of the Bonds paid by the
Purchaser, to the extent designated for deposit in the Debt Service Fund in accordance with Section 1.03
hereof, (iv) all investment earnings on funds in the Improvement Account; and (v) any and all other moneys
which are properly available and are appropriated by the City Council to the Improvement Account. The
amount of any surplus remaining in the Improvement Account when the Improvement Refunding Bonds and
interest thereon are paid will be used as provided in Section 475.6 1, subdivision 4 of the Act.
(b) Equipment Account. To the Equipment Account of the Debt Service Fund there is hereby
pledged and irrevocably appropriated and there will be credited: (i) proceeds of ad valorem taxes hereinafter
levied for payment of the Equipment Refunding Bonds; (ii) a pro rata portion of amounts over the minimum
purchase price of the Bonds paid by the Purchaser, to the extent designated for deposit in the Debt Service
Fund in accordance with Section 1.03 hereof, (iii) all investment earnings on funds in the Equipment Account;
and (iv) any and all other moneys which are properly available and are appropriated by the City Council to
the Equipment Account. The amount of any surplus remaining in the Equipment Account when the
Equipment Refunding Bonds and interest thereon are paid will be used as provided in Section 475.6 1,
subdivision 4 of the Act.
(c) CIP Account. To the CIP Account of the Debt Service Fund there is hereby pledged and
irrevocably appropriated and there will be credited: (i) proceeds of ad valorem taxes hereinafter levied for
payment of the CIP Refunding Bonds; (ii) a pro rata portion of amounts over the minimum purchase price of
the Bonds paid by the Purchaser, to the extent designated for deposit in the Debt Service Fund in accordance
with Section 1.03 hereof, (iii) all investment earnings on funds in the CIP Account; and (iv) any and all other
moneys which are properly available and are appropriated by the City Council to the CIP Account. The
amount of any surplus remaining in the CIP Account when the CIP Refunding Bonds and interest thereon are
paid will be used as provided in Section 475.61, subdivision 4 of the Act.
(d) TIF Revenue Account. To the TIF Revenue Account of the Debt Service Fund there is
hereby pledged and irrevocably appropriated and there will be credited: (i) after the Redemption Date, the tax
increment revenues derived from property in the TIF District (the "Tax Increments") pledged to the payment
of portion of the Series 2014A Bonds that financed the 2014 TIF Improvements pursuant to the pledge made
in the resolution authorizing the issuance and sale of the Series 2014A Bonds (the "2014A Prior
Resolution"); (ii) a pro rata portion of amounts over the minimum purchase price of the Bonds paid by the
Purchaser, to the extent designated for deposit in the Debt Service Fund in accordance with Section 1.03
hereof, (iii) all investment earnings on funds in the TIF Revenue Account; and (iv) any and all other moneys
which are properly available and are appropriated by the City Council to the TIF Revenue Account.
4.02. Redemption Fund. All proceeds of the Bonds along with funds on hand in the debt service funds
created for the Prior Bonds, less the appropriations made in Section 4.01 hereof and the costs of issuance ofthe Bonds,
will be deposited in a separate fund (the "Redemption Fund") to be used to redeem and prepay the Refunded Bonds.
Any balance remaining in the Redemption Fund after the redemption of the Refunded Bonds shall be deposited in the
accounts established in the Debt Service Fund on a pro rata basis.
4.03. Prior Debt Service Funds.
(a) Series 2012A Bonds. The accounts of the debt service fund heretofore established for the
Series 2012A Bonds pursuant to the resolution providing for the issuance and sale of the Series 2012A
Bonds shall be closed following the redemption of the Series 2012A Bonds (the "2012A Prior
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Resolution"), and all monies therein shall be transferred on a pro rata basis to the Improvement Account
of the Debt Service Fund herein created.
(b) Series 2013A Bonds. The accounts of the debt service fund heretofore established for the
Series 2013A Bonds pursuant to the resolution providing for the issuance and sale of the Series 2013A
Bonds shall be closed following the redemption of the Series 2013A Bonds (the "2013A Prior
Resolution"), and all monies therein shall be transferred on a pro rata basis to the Improvement Account
and the CIP Account of the Debt Service Fund herein created.
(c) Series 2014A Bonds. The accounts of the debt service fund heretofore established for the
Series 2014A Bonds pursuant to the 2014A Prior Resolution, and all monies therein shall be transferred
on a pro rata basis to the Improvement Account, the Equipment Account, the CIP Account and the TIF
Revenue Account of the Debt Service Fund herein created.
4.04. Prior Resolution Pledges. The pledges and covenants of the City made by the 2012A Prior
Resolution, the 2013A Prior Resolution, and the 2014A Prior Resolution (collectively, the "Prior Resolutions")
relating to the improvements financed and refinanced with the proceeds of the Refunded Bonds, the levy and
collection of special assessments against property benefited by the improvements, and the pledge of tax increment
revenues, are restated and confirmed in all respects. The provisions of the Prior Resolutions are hereby
supplemented to the extent necessary to give full effect to the provisions hereof.
4.05. General Obligation Pledgee. For the prompt and full payment of the principal and interest on the
Bonds, as the same respectively become due, the full faith, credit and taxing powers of the City will be and are hereby
irrevocably pledged. If the balance in the Debt Service Fund is ever insufficient to pay all principal and interest then
due on the Bonds and any other bonds payable therefrom, the deficiency will be promptly paid out of monies in the
general fund of the City which are available for such purpose, and such general fund may be reimbursed with or
without interest from the Debt Service Fund when a sufficient balance is available therein.
4.06. Pledge of Tax Levy; Improvement Refunding Bonds. For the purpose of paying a portion of the
principal of and interest on the Improvement Refunding Bonds, there is levied a direct annual irrepealable ad
valorem tax upon all of the taxable property in the City, which will be spread upon the tax rolls and collected with
and as part of other general taxes of the City. The taxes will be credited to the Improvement Account of the Debt
Service Fund above provided and will be in the years and amounts as set forth in EXHIBIT C attached hereto.
4.07. Pledge of Tax Levy; Equipment RefundingB. For the purpose of paying the principal of and
interest on the Equipment Refunding Bonds, there is levied a direct annual irrepealable ad valorem tax upon all of
the taxable property in the City, which will be spread upon the tax rolls and collected with and as part of other
general taxes of the City. The taxes will be credited to the Equipment Account of the Debt Service Fund above
provided and will be in the years and amounts as set forth in EXHIBIT C attached hereto.
4.08. Pledge of Tax Levy; CIP Refunding Bonds. For the purpose of paying the principal of and interest
on the CIP Refunding Bonds, there is levied a direct annual irrepealable ad valorem tax upon all of the taxable
property in the City, which will be spread upon the tax rolls and collected with and as part of other general taxes
of the City. The taxes will be credited to the Capital Improvement Account of the Debt Service Fund above
provided and will be in the years and amounts as set forth in EXHIBIT C attached hereto.
4.09 Pledge of Tax Increments. It is determined that the collection of Tax Increment for payment of
principal and interest on the TIF Refunding Bonds herein pledged will produce at least five percent in excess of the
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amount needed to meet, when due, the principal and interest payments on the TIF Refunding Bonds and that no tax
levy is needed at this time, with regard to the TIF Refunding Bonds.
4.10. Certification to the Director of Property Records and Revenue as to Debt Service Fund Amount.
It is hereby determined that the estimated collections of the foregoing ad valorem taxes levied, special assessments,
the Tax Increments will produce at least five percent (5%) in excess of the amount needed to meet when due the
principal and interest payments on the Bonds. The tax levy herein provided is irrepealable until all of the Bonds
are paid, provided that at the time the City makes its annual tax levies the City Manager may certify to the Director
of Property Records and Revenue for Ramsey County, Minnesota (the "County Auditor"), the amount available in
the Debt Service Fund to pay principal and interest due during the ensuing year, and the County Auditor will
thereupon reduce the levy collectible during such year by the amount so certified.
4.11. Cancellation of Prior Levies after Redemption Date. Following the payment in full of all outstanding
principal of and interest on the Prior Bonds on February 1, 2022 (the "Redemption Date"), the City Manager is hereby
directed to certify such fact to and request the County Auditor to cancel any and all tax levies made for the Prior
Bonds.
4.12. Filing of Resolution. The City Manager is authorized and directed to file a certified copy of this
resolution with the County Auditor and to obtain from the County Auditor the certificate required by Section 475.63
of the Act.
Section 5. Refunding; Findings; Redemption of Prior Bonds.
5.01. Purpose of Refunding. On the Redemption Date, the Refunded Bonds will be called for
redemption in the principal amount of $8,655,000. It is hereby found and determined that based upon information
presently available from the Municipal Advisor, the issuance of the Bonds, a portion of which will be used to
redeem and prepay the Refunded Bonds, is consistent with covenants made with the holders of the Prior Bonds
and is necessary and desirable for the reduction of debt service costs to the City.
5.02. Application of Proceeds of Bonds. It is hereby found and determined that the proceeds of the
Bonds deposited in the Redemption Fund, along with any other funds on hand in the debt service funds established
for the Prior Bonds, will be sufficient to prepay all of the principal of, interest on, and redemption premium (if
any) on the Refunded Bonds.
5.03. Notices of Call for Redemption. The Refunded Bonds will be redeemed and prepaid on the
Redemption Date in accordance with their terms and in accordance with the terms and conditions set forth in the forms
of Notice of Call for Redemption attached hereto as EXHIBITS D-1, D-2, and D-3, respectively, which terms and
conditions are hereby approved and incorporated herein by reference. The registrars for the Prior Bonds are authorized
and directed to send a copy of the respective Notice of Call for Redemption to each registered holder of each of the
Refunded Bonds at least thirty (3 0) days prior to the Redemption Date.
Section 6. Authentication of Transcript.
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6.01. City Proceedings and Records. The officers of the City are authorized and directed to prepare and
furnish to the Purchaser and to the attorneys approving the Bonds, certified copies of proceedings and records of the
City relating to the Bonds and to the financial condition and affairs of the City, and such other certificates, affidavits
and transcripts as may be required to show the facts within their knowledge or as shown by the books and records in
their custody and under their control, relating to the validity and marketability of the Bonds, and such instruments,
including any heretofore furnished, may be deemed representations of the City as to the facts stated therein.
6.02. Certification as to Official Statement. The Mayor and the City Manager are hereby authorized and
directed to certify that they have examined the Official Statement prepared and circulated in connection with the
issuance and sale of the Bonds and that to the best of their knowledge and belief the Official Statement is a complete
and accurate representation of the facts and representations made therein as of the date of the Official Statement.
6.03. Other Certificates. The Mayor, the City Manager and the Finance Director are hereby authorized
and directed to furnish to the Purchaser at the closing such certificates as are required as a condition of sale. Unless
litigation shall have been commenced and be pending questioning the Bonds or the organization of the City or
incumbency of its officers, at the closing the Mayor and City Manager shall also execute and deliver to the Purchaser
a suitable certificate as to absence of material litigation, and the Finance Director shall also execute and deliver a
certificate as to payment for and delivery of the Bonds.
6.04. Electronic Signatures. The electronic signature of the Mayor, the City Manager, and the Finance
Director to this resolution and/or to any certificate authorized to be executed hereunder shall be as valid as an
original signature of such party and shall be effective to bind the City thereto. For purposes hereof, (i) "electronic
signature" means a manually signed original signature that is then transmitted by electronic means; and
(ii) "transmitted by electronic means" means sent in the form of a facsimile or sent via the internet as a portable
document format ("pdf') or other replicating image attached to an electronic mail or internet message.
Section 7. Tax Covenants.
7.01. Tax -Exempt Bonds. The City covenants and agrees with the holders from time to time of the Bonds
that it will not take or permit to be taken by any of its officers, employees or agents any action which would cause the
interest on the Bonds to become subject to taxation under the Internal Revenue Code of 1986, as amended
(the "Code"), and the Treasury Regulations promulgated thereunder, in effect at the time of such actions, and that it
will take or cause its officers, employees or agents to take, all affirmative action within its power that may be necessary
to ensure that such interest will not become subject to taxation under the Code and applicable Treasury Regulations,
as presently existing or as hereafter amended and made applicable to the Bonds.
7.02. Rebate. The City will comply with requirements necessary under the Code to establish and
maintain the exclusion from gross income of the interest on the Bonds under Section 103 of the Code, including
without limitation requirements relating to temporary periods for investments, limitations on amounts invested at
a yield greater than the yield on the Bonds, and the rebate of excess investment earnings to the United States (unless
the City qualifies for an exemption from rebate requirements based on timely expenditure of proceeds of the Bonds,
in accordance with the Code and applicable Treasury Regulations).
7.03. Not Private Activity Bonds. The City further covenants not to use the proceeds of the Bonds or to
cause or permit them or any of them to be used, in such a manner as to cause the Bonds to be "private activity bonds"
within the meaning of Sections 103 and 141 through 150 of the Code.
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7.04. Qualified Tax -Exempt Obligations. In order to qualify the Bonds as "qualified tax-exempt
obligations" within the meaning of Section 265(b)(3) of the Code, the City makes the following factual statements and
representations:
(a) the Bonds are not "private activity bonds" as defined in Section 141 of the Code;
(b) the Prior Bonds were previously designated as "qualified tax-exempt obligations" for
purposes of Section 265(b)(3) of the Code, the average maturity of the Bonds is not longer than the average
maturity of the Prior Bonds, and the Bonds mature not later than 30 years after the date the Prior Bonds
were issued and therefore the Bonds issued to refund the outstanding principal amount of the Prior Bonds
are deemed designated as "qualified tax-exempt obligations" for purposes of Section 265(b)(3) of the
Code;
(c) the City designates the portion of the Bonds exceeding the outstanding aggregate principal
amount of the Prior Bonds (i.e., $8,655,000), if any, as "qualified tax-exempt obligations" for purposes of
Section 265(b)(3) of the Code;
(d) the reasonably anticipated amount of tax-exempt obligations (other than private activity
bonds that are not qualified 501(c)(3) bonds and other bonds described under Section 265(b)(3)(C)(11)) of
the Code) which will be issued by the City (and all subordinate entities of the City) during calendar year
2021 will not exceed $10,000,000; and
(e) not more than $10,000,000 of obligations issued by the City during calendar year 2021
have been designated for purposes of Section 265(b)(3) of the Code.
(f) the aggregate face amount of the issue of the Bonds is not greater than $10,000,000.
7.05. Procedural Requirements. The City will use its best efforts to comply with any federal procedural
requirements which may apply in order to effectuate the designations made by this section.
Section 8. Book -Entry System; Limited Obligation of City.
8.01. The Depository Trust Company. The Bonds will be initially issued in the form of a separate single
typewritten or printed fully registered Bond for each of the maturities set forth in Section 1.04 hereof. Upon initial
issuance, the ownership of each such Bond will be registered in the registration books kept by the Registrar in the name
of Cede & Co., as nominee for The Depository Trust Company, New York, New York, and its successors and assigns
("DTC"). Except as provided in this section, all of the outstanding Bonds will be registered in the registration books
kept by the Registrar in the name of Cede & Co., as nominee of DTC.
8.02. Participants. With respect to Bonds registered in the registration books kept by the Registrar in the
name of Cede & Co., as nominee of DTC, the City, the Registrar and the Paying Agent will have no responsibility or
obligation to any broker dealers, banks and other financial institutions from time to time for which DTC holds Bonds
as securities depository (the "Participants") or to any other person on behalf of which a Participant holds an interest in
the Bonds, including but not limited to any responsibility or obligation with respect to (i) the accuracy of the records
of DTC, Cede & Co. or any Participant with respect to any ownership interest in the Bonds, (ii) the delivery to any
Participant or any other person (other than a registered owner of Bonds, as shown by the registration books kept by the
Registrar), of any notice with respect to the Bonds, including any notice of redemption, or (iii) the payment to any
Participant or any other person, other than a registered owner of Bonds, of any amount with respect to principal of,
premium, if any, or interest on the Bonds. The City, the Registrar and the Paying Agent may treat and consider the
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person in whose name each Bond is registered in the registration books kept by the Registrar as the holder and absolute
owner of such Bond for the purpose of payment of principal, premium and interest with respect to such Bond, for the
purpose of registering transfers with respect to such Bonds, and for all other purposes. The Paying Agent will pay all
principal of, premium, if any, and interest on the Bonds only to or on the order of the respective registered owners, as
shown in the registration books kept by the Registrar, and all such payments will be valid and effectual to fully satisfy
and discharge the City's obligations with respect to payment of principal of, premium, if any, or interest on the Bonds
to the extent ofthe sum or sums so paid. No person other than a registered owner of Bonds, as shown in the registration
books kept by the Registrar, will receive a certificated Bond evidencing the obligation of this resolution. Upon delivery
by DTC to the City Manager of a written notice to the effect that DTC has determined to substitute a new nominee in
place of Cede & Co., the words "Cede & Co." will refer to such new nominee of DTC; and upon receipt of such a
notice, the City Manager will promptly deliver a copy of the same to the Registrar and Paying Agent.
8.03. Representation Letter. The City has heretofore executed and delivered to DTC a Blanket Issuer Letter
of Representations (the "Representation Letter") which shall govern payment of principal of, premium, if any, and
interest on the Bonds and notices with respect to the Bonds. Any Paying Agent or Registrar subsequently appointed
by the City with respect to the Bonds will agree to take all action necessary for all representations of the City in the
Representation Letter with respect to the Registrar and Paying Agent, respectively, to be complied with at all times.
8.04. Transfers Outside Book -Entry. sem. hi the event the City, by resolution of the City Council,
determines that it is in the best interests of the persons having beneficial interests in the Bonds that they be able to
obtain Bond certificates, the City will notify DTC, whereupon DTC will notify the Participants, of the availability
through DTC of Bond certificates. In such event the City will issue, transfer and exchange Bond certificates as
requested by DTC and any other registered owners in accordance with the provisions of this resolution. DTC may
determine to discontinue providing its services with respect to the Bonds at any time by giving notice to the City and
discharging its responsibilities with respect thereto under applicable law. In such event, if no successor securities
depository is appointed, the City will issue and the Registrar will authenticate Bond certificates in accordance with this
resolution and the provisions hereof will apply to the transfer, exchange, and method of payment thereof.
8.05. Payments to Cede & Co. Notwithstanding any other provision of this resolution to the contrary, so
long as a Bond is registered in the name of Cede & Co., as nominee of DTC, payments with respect to principal of,
premium, if any, and interest on the Bond and notices with respect to the Bond will be made and given, respectively
in the manner provided in DTC's Operational Arrangements, as set forth in the Representation Letter.
Section 9. Continuing Disclosure.
9.01. Execution of Continuing Disclosure Certificate. "Continuing Disclosure Certificate" means that
certain Continuing Disclosure Certificate executed by the Mayor and City Manager and dated the date of issuance
and delivery of the Bonds, as originally executed and as it may be amended from time to time in accordance with
the terms thereof.
9.02. City Compliance with Provisions of Continuing Disclosure Certificate. The City hereby
covenants and agrees that it will comply with and carry out all of the provisions of the Continuing Disclosure
Certificate. Notwithstanding any other provision of this resolution, failure of the City to comply with the
Continuing Disclosure Certificate is not to be considered an event of default with respect to the Bonds; however,
any Bondholder may take such actions as may be necessary and appropriate, including seeking mandate or specific
performance by court order, to cause the City to comply with its obligations under this section.
Section 10. Defeasance. When all Bonds and all interest thereon have been discharged as provided in
this section, all pledges, covenants, and other rights granted by this resolution to the holders of the Bonds will cease,
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except that the pledge of the full faith and credit of the City for the prompt and full payment of the principal of and
interest on the Bonds will remain in full force and effect. The City may discharge all Bonds which are due on any date
by depositing with the Registrar on or before that date a sum sufficient for the payment thereof in full. If any Bond
should not be paid when due, it may nevertheless be discharged by depositing with the Registrar a sum sufficient for
the payment thereof in full with interest accrued to the date of such deposit.
EXHIBIT A
PROPOSALS
'EHLERS
PVELIC FQNANCE ADVISORS
BID TABULATION
$8,275,000" General Obligation Refunding Bonds, Series 2021B
City of Maplewood, Minnesota
SALE: October 25. 2421
AWARD: BOK FINANCIAL SECURITIES, INC.
Rating: S&P Global Ratings "AA+"
Tax Exempt - Bank Qualified
NET TRUE
MATURITY REOFFERING INTEREST INTEREST
NAME OF BIDDER (February 1) RATE YIELD PRICE COST RATE
BOK FINANCIAL SECURITIES,
INC.
Milwaukee_ Wisconsin
Stifel
NORTHLAND SECURITIES, rNC.
Minneapolis, Minnesota
PIPER SANDLER & CO.
Minneapolis, Minnesota
BAIRD
Milwaukee, Wisconsin
2023
3.000%
0.3000%
2024
3.000%
0.350%
2025
3.000%
0.500%
2026
3.000%
0.650%
2027
3.000%
0.800%
2028
3.000%
1.000%
2029
3.000%
1.100%
2030
3.000%
1.2000/a
20312.000%
1.300%
20321
2.000%
1.450%
20331
2.000%
1.450%
20342
2.000%
1.650%
20352
2.000%
1.650%
Subsequent to bid opening the issue size was decreased to $8,090,000.
Adjusted Price - $8,738,610.76 Adjusted Net Interest Cost - $532,184.38
1$325,000 Teian Bond due 2033 with mandatory redemption in 2032-
2
0322 $335,000 Term Bond due 2035 with mandatory redemption in 2034.
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$8,945,707.30 $547,742.98 1.17151/.
$8,940,370.50 $553,079.78 1.1834%
$8,9272.15.95 $566,234.33 1.2128%
$8,882,883.70 $610,566.58 1.3125%
Adjusted TIC - 1.17250/a
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EXHIBIT B
FORM OF BOND
No. R- UNITED STATES OF AMERICA
STATE OF MINNESOTA
COUNTY OF RAMSEY
CITY OF MAPLEWOOD
GENERAL OBLIGATION REFUNDING BOND
SERIES 2021B
Date of
Rate Maturity Original Issue CUSIP
% February 1, 20_ November 18, 2021 565557
Registered Owner: Cede & Co
The City of Maplewood, Minnesota, a duly organized and existing municipal corporation in Ramsey County,
Minnesota (the "City"), acknowledges itself to be indebted and for value received promises to pay to the Registered
Owner specified above or registered assigns, the principal sum of $ on the maturity date specified above,
with interest thereon from the date hereof at the annual rate specified above, payable February 1 and August 1 in each
year, commencing August 1, 2022, to the person in whose name this Bond is registered at the close of business on the
fifteenth day (whether or not a business day) of the immediately preceding month. The interest hereon and, upon
presentation and surrender hereof, the principal hereof are payable in lawful money of the United States of America
by check or draft by Bond Trust Services Corporation, Roseville, Minnesota as Registrar, Paying Agent, Transfer
Agent and Authenticating Agent, or its designated successor under the Resolution described herein. For the prompt
and full payment of such principal and interest as the same respectively become due, the full faith and credit and taxing
powers of the City have been and are hereby irrevocably pledged.
The City may elect on February 1, 2030, and on any day thereafter to prepay Bonds due on or after February
1, 2031. Redemption may be in whole or in part and if in part, at the option of the City and in such manner as the City
will determine. If less than all Bonds of a maturity are called for redemption, the City will notify The Depository Trust
Company ("DTC") of the particular amount of such maturity to be prepaid. DTC will determine by lot the amount of
each participant's interest in such maturity to be redeemed and each participant will then select by lot the beneficial
ownership interests in such maturity to be redeemed. Prepayments will be at a price of par plus accrued interest.
The Bonds maturing on February 1, 2033, and February 1, 2035, shall hereinafter be referred to as the "Term
Bonds." The principal amount of the Term Bonds subject to mandatory sinking fund redemption on any date may be
reduced through earlier optional redemptions, with any partial redemptions of the Term Bonds credited against future
mandatory sinking fund redemption of such Term Bonds in such order as the City shall determine. The Term Bonds
are subject to mandatory sinking fund redemption and shall be redeemed in part at par plus accrued interest on February
1 of the following years and in the principal amounts as follows:
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Sinking Fund Installment Date
February 1, 2033 Term Bond Principal Amount
2032 $ 160,000
2033* 165,000
* Maturity
February 1, 2035 Term Bond Principal Amount
2034 $ 165,000
2035* 170,000
* Maturity
This Bond is one of an issue in the aggregate principal amount of $8,090,000 all of like original issue date and
tenor, except as to number, maturity date, and interest rate, all issued pursuant to a resolution adopted by the City
Council on October 25, 2021 (the "Resolution"), for the purpose of providing money to redeem and prepay on February
1, 2022 (the "Redemption Date") certain general obligation bonds of the City, pursuant to and in full conformity with
the Constitution and laws of the State of Minnesota, including Minnesota Statutes, Section 412.301 and Minnesota
Statutes, Chapters 429, 444, and 475, including specifically Section 475.67, subdivision 3, all as amended. The
principal hereof and interest hereon are payable in part from special assessments, in part from tax increment revenues,
and in part from ad valorem taxes, as set forth in the Resolution to which reference is made for a full statement of
rights and powers thereby conferred. The full faith and credit of the City are irrevocably pledged for payment of this
Bond and the City Council has obligated itself to levy additional ad valorem taxes on all taxable property in the City
in the event of any deficiency in ad valorem taxes, special assessments, and tax increment revenues of the City pledged,
which additional taxes may be levied without limitation as to rate or amount. The Bonds of this series are issued only
as fully registered Bonds in denominations of $5,000 or any integral multiple thereof of single maturities.
The City Council has designated the issue of Bonds of which this Bond forms a part as "qualified tax-exempt
obligations" within the meaning of Section 265(b)(3) of the Internal Revenue Code of 1986, as amended (the "Code")
relating to disallowance of interest expense for financial institutions and within the $10 million limit allowed by the
Code for the calendar year of issue.
As provided in the Resolution and subject to certain limitations set forth therein, this Bond is transferable upon
the books of the City at the principal office of the Registrar, by the registered owner hereof in person or by the owner's
attorney duly authorized in writing, upon surrender hereof together with a written instrument of transfer satisfactory
to the Registrar, duly executed by the registered owner or the owner's attorney; and may also be surrendered in
exchange for Bonds of other authorized denominations. Upon such transfer or exchange the City will cause a new
Bond or Bonds to be issued in the name of the transferee or registered owner, of the same aggregate principal amount,
bearing interest at the same rate and maturing on the same date, subject to reimbursement for any tax, fee or
governmental charge required to be paid with respect to such transfer or exchange.
The City and the Registrar may deem and treat the person in whose name this Bond is registered as the absolute
owner hereof, whether this Bond is overdue or not, for the purpose of receiving payment and for all other purposes,
and neither the City nor the Registrar will be affected by any notice to the contrary.
IT IS HEREBY CERTIFIED, RECITED, COVENANTED AND AGREED that all acts, conditions and
things required by the Constitution and laws of the State of Minnesota to be done, to exist, to happen and to be
performed preliminary to and in the issuance of this Bond in order to make it a valid and binding general obligation of
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the City in accordance with its terms, have been done, do exist, have happened and have been performed as so required,
and that the issuance of this Bond does not cause the indebtedness of the City to exceed any constitutional, or statutory
limitation of indebtedness.
This Bond is not valid or obligatory for any purpose or entitled to any security or benefit under the Resolution
until the Certificate of Authentication hereon has been executed by the Registrar by manual signature of one of its
authorized representatives.
IN WITNESS WHEREOF, the City of Maplewood, Ramsey County, Minnesota, by its City Council, has
caused this Bond to be executed on its behalf by the facsimile or manual signatures of the Mayor and City Manager
and has caused this Bond to be dated as of the date set forth below.
Dated: November 18, 2021
CITY OF MAPLEWOOD, MINNESOTA
(Facsimile) (Facsimile)
Mayor City Manager
CERTIFICATE OF AUTHENTICATION
This is one of the Bonds delivered pursuant to the Resolution mentioned within.
BOND TRUST SERVICES CORPORATION
By
Its Authorized Representative
ABBREVIATIONS
The following abbreviations, when used in the inscription on the face of this Bond, will be construed as
though they were written out in full according to applicable laws or regulations:
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TEN COM -- as tenants in common
TEN ENT -- as tenants by entireties
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JT TEN -- as joint tenants with right of
survivorship and not as tenants in common
UNIF GIFT MIN ACT
Custodian
(Crust) (Minor)
under Uniform Gifts or Transfers to Minors
Act, State of
Additional abbreviations may also be used though not in the above list.
ASSIGNMENT
For value received, the undersigned hereby sells, assigns and transfers unto
the within Bond and all rights thereunder, and does hereby
irrevocably constitute and appoint attorney to transfer the said Bond on the books kept for
registration of the within Bond, with full power of substitution in the premises.
Dated
Notice: The assignor's signature to this assignment must correspond with the name as it appears upon
the face of the within Bond in every particular, without alteration or any change whatever.
Signature Guaranteed:
NOTICE: Signature(s) must be guaranteed by a financial institution that is a member of the Securities Transfer Agent
Medallion Program ("STAMP"), the Stock Exchange Medallion Program ("SEMP"), the New York Stock Exchange,
Inc. Medallion Signatures Program ("MSP") or other such "signature guarantee program" as may be determined by
the Registrar in addition to, or in substitution for, STAMP, SEMP or MSP, all in accordance with the Securities
Exchange Act of 1934, as amended.
The Registrar will not effect transfer of this Bond unless the information concerning the assignee requested
below is provided.
Name and Address:
(Include information for all joint owners if this Bond is held by
joint account.)
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Please insert social security or other identifying number of
assignee
PROVISIONS AS TO REGISTRATION
The ownership of the principal of and interest on the within Bond has been registered on the books of the
Registrar in the name of the person last noted below.
Signature of
Date of Registration Registered Owner Officer of Re is._? tray
Cede & Co.
Federal ID 413-2555119
EXHIBIT C
TAX LEVY SCHEDULES
Improvement Refunding Bonds
$3,455,000 Improvement Refunding Portion
(1) The following funds are available to pay a portion of the interest payment due 08/01/2022
Deposit to Debt Service Fund (Rounding): 1,771.58
Notes: Original tax levies for collection years 2022 through 2027 on the Series 2012A Bonds will be cancelled.
Original tax levies for collection years 2022 through 2028 on the Improvement Refunding Portion of
the Series 2013A Bonds will be cancelled.
Original tax levies for collection years 2022 through 2029 on the Improvement Refunding
Portion of the Series 2014A Bonds will be cancelled.
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Tax
Tax Levy
Collect
Bond Pay
Funds
Year
Year
Year
Total P & 1
(1)
P & I @ 105%
Net Levy
2021
/
2022
/ 2023
579,667.92
(1,771.58)
606,791.16
606,791.16
2022
/
2023
/ 2024
570,000.00
598,500.00
598,500.00
2023
/
2024
/ 2025
560,600.00
588,630.00
588,630.00
2024
/
2025
/ 2026
536,050.00
562,852.50
562,852.50
2025
/
2026
/ 2027
536,800.00
563,640.00
563,640.00
2026
/
2027
/ 2028
507,100.00
532,455.00
532,455.00
2027
/
2028
/ 2029
362,850.00
380,992.50
380,992.50
2028
/
2029
/ 2030
257,500.00
270,375.00
270,375.00
Totals
3.910.567.92
(1.771.58)
4.104.236.16
4.104.236.16
(1) The following funds are available to pay a portion of the interest payment due 08/01/2022
Deposit to Debt Service Fund (Rounding): 1,771.58
Notes: Original tax levies for collection years 2022 through 2027 on the Series 2012A Bonds will be cancelled.
Original tax levies for collection years 2022 through 2028 on the Improvement Refunding Portion of
the Series 2013A Bonds will be cancelled.
Original tax levies for collection years 2022 through 2029 on the Improvement Refunding
Portion of the Series 2014A Bonds will be cancelled.
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Equipment Refunding Bonds
$140,000 Equipment Refunding Certificates Portion
Tax Levy
Tax Collect
Bond Pay
Pay Year
Total P & 1 (1)
Year
Year
Year
Total P & I
P & I @ 105%
Net Levy
2021
/2022
/2023
80,051.67
84,054.25
84,054.25
2022
/2023
/2024
66,950.00
70,297.50
70,297.50
Totals
/
2024
147.001.67
154.351.75
154.351.75
Notes: Original tax levies for collection years 2022 through 2023 on the Equipment Refunding Certificates
Portion of the Series 2014A Bonds will be cancelled.
CIP Refunding Bonds
$3,835,000 CIP Refunding Portion
Tax
Tax Levy Collect Bond Funds Available
Year
Year
Pay Year
Total P & 1 (1)
P & I @ 105%
Net Levy
2021
/
2022
/
2023
475,810.55 (1,144.18)
498,399.69
498,399.69
2022
/
2023
/
2024
454,100.00
476,805.00
476,805.00
2023
/
2024
/
2025
408,300.00
428,715.00
428,715.00
2024
/
2025
/
2026
403,550.00
423,727.50
423,727.50
2025
/
2026
/
2027
403,650.00
423,832.50
423,832.50
2026
/
2027
/
2028
403,450.00
423,622.50
423,622.50
2027
/
2028
/
2029
402,950.00
423,097.50
423,097.50
2028
/
2029
/
2030
407,150.00
427,507.50
427,507.50
2029
/
2030
/
2031
405,900.00
426,195.00
426,195.00
2030
/
2031
/
2032
173,200.00
181,860.00
181,860.00
2031
/
2032
/
2033
175,000.00
183,750.00
183,750.00
2032
/
2033
/
2034
171,700.00
180,285.00
180,285.00
2033
/
2034
/
2035
173,400.00
182,070.00
182,070.00
Totals
4.458.160.55 (1.144.18)
4.679.867.19
4.679.867.19
(1) The following funds are available to pay a portion of the interest payment due 08/01/2022
Deposit to Debt Service Fund (Rounding): 1,144.18
Notes: Original tax levies for collection years 2022 through 2030 on the CIP Refunding Portion of the Series 2013A
Bonds will be cancelled.
Original tax levies for collection years 2022 through 2034 on the CIP Refunding Portion of the Series
2014A Bonds will be cancelled.
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EXHIBIT D-1
NOTICE OF CALL FOR REDEMPTION FOR
SERIES 2012A BONDS
$5,780,000
CITY OF MAPLEWOOD, MINNESOTA
GENERAL OBLIGATION BONDS
SERIES 2012A
NOTICE IS HEREBY GIVEN that, by order of the City Council of the City of Maplewood, Ramsey
County, Minnesota (the "City"), there have been called for redemption and prepayment on
February 1, 2022
all outstanding bonds of the City designated as General Obligation Bonds, Series 2012A, dated July 1, 2012,
having stated maturity dates of February 1 in the years 2024 through 2028, both inclusive, totaling $945,000 in
principal amount, and with the following CUSIP numbers:
Year of Maturity
Amount
CUSIP Number
2024*
$300,000
565557 QK4
2026*
315,000
565557 QMO
2028*
330,000
565557 QP3
* Term Bond
The bonds are being called at a price of par plus accrued interest to February 1, 2022, on which
date all interest on said bonds will cease to accrue. Holders of the bonds hereby called for redemption are
requested to present their bonds for payment at the main office of U.S. Bank National Association, Saint
Paul, Minnesota, at the following address, on or before February 1, 2022:
If by mail:
U.S. Bank National Association
Corporate Trust Operations, 3rd Floor
P.O. Box 64111
St. Paul, MN 55164-0111
If by hand or overnight:
U.S. Bank National Association
60 Livingston Avenue
EP-MN-WS3C
Bond Drop Window, 1st Floor
St. Paul, MN 55107
Important Notice: In compliance with the Jobs and Growth Tax Relief Reconciliation Act of 2003,
the Trustee is required to withhold a specified percentage of the principal amount of the redemption price
payable to the holder of any bonds subject to redemption and prepayment on the redemption date, unless
the Trustee is provided with the Social Security Number or Federal Employer Identification Number of the
holder, properly certified. Submission of a fully executed Request for Taxpayer Identification Number and
Certification, Form W-9 (Rev. December 2011), will satisfy the requirements of this paragraph.
Dated: , 2021. BY ORDER OF THE CITY COUNCIL
By /s/ Melinda Coleman
City Manager
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City of Maplewood, Minnesota
EXHIBIT D-2
NOTICE OF CALL FOR REDEMPTION FOR
SERIES 2013A BONDS
$6,180,000
CITY OF MAPLEWOOD, MINNESOTA
GENERAL OBLIGATION BONDS
SERIES 2013A
NOTICE IS HEREBY GIVEN that, by order of the City Council of the City of Maplewood, Ramsey
County, Minnesota (the "City"), there have been called for redemption and prepayment on
February 1, 2022
all outstanding bonds of the City designated as General Obligation Bonds, Series 2013A, dated July 18, 2013,
having stated maturity dates of February 1 in the years 2023 through 2031, both inclusive, totaling $2,810,000
in principal amount, and with the following CUSIP numbers:
Year of Maturity
Amount
CUSIP Number
2023
$340,000
565557 RHO
2024
345,000
565557 RJ6
2025
310,000
565557 RK3
2026
315,000
565557 RLI
2027
325,000
565557 RM9
2029*
690,000
565557 RP2
2031*
485,000
565557 RR8
* Term Bonds
The bonds are being called at a price of par plus accrued interest to February 1, 2022, on which
date all interest on said bonds will cease to accrue. Holders of the bonds hereby called for redemption are
requested to present their bonds for payment at the main office of U.S. Bank National Association, Saint
Paul, Minnesota, at the following address, on or before February 1, 2022:
If by mail:
U.S. Bank National Association
Corporate Trust Operations, 3rd Floor
P.O. Box 64111
St. Paul, MN 55164-0111
If by hand or overnight:
U.S. Bank National Association
60 Livingston Avenue
EP-MN-WS3C
Bond Drop Window, 1st Floor
St. Paul, MN 55107
Important Notice: In compliance with the Jobs and Growth Tax Relief Reconciliation Act of 2003,
the Trustee is required to withhold a specified percentage of the principal amount of the redemption price
payable to the holder of any bonds subject to redemption and prepayment on the redemption date, unless
the Trustee is provided with the Social Security Number or Federal Employer Identification Number of the
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holder, properly certified. Submission of a fully executed Request for Taxpayer Identification Number and
Certification, Form W-9 (Rev. December 2011), will satisfy the requirements of this paragraph.
Dated: , 2021. BY ORDER OF THE CITY COUNCIL
By /s/ Melinda Coleman
City Manager
City of Maplewood, Minnesota
EXHIBIT D-3
NOTICE OF CALL FOR REDEMPTION FOR
SERIES 2014A BONDS
$7,745,000
CITY OF MAPLEWOOD, MINNESOTA
GENERAL OBLIGATION BONDS
SERIES 2014A
NOTICE IS HEREBY GIVEN that, by order of the City Council of the City of Maplewood, Ramsey
County, Minnesota (the "City"), there have been called for redemption and prepayment on
February 1, 2022
all outstanding bonds ofthe City designated as General Obligation Bonds, Series 2014A, dated August 1, 2014,
having stated maturity dates of February 1 in the years 2023 through 2035, both inclusive, totaling $4,900,000
in principal amount, and with the following CUSIP numbers:
Year of Maturity
Amount
CUSIP Number
2023
$500,000
565557
SM8
2024
520,000
565557
SN6
2025
465,000
565557
SPI
2026
475,000
565557
SQ9
2027
490,000
565557
SR7
2028
510,000
565557
SS5
2029
520,000
565557
ST3
2030
540,000
565557
SUO
2032*
335,000
565557
SW6
2035*
545,000
565557
SZ9
* Term Bonds
The bonds are being called at a price of par plus accrued interest to February 1, 2022, on which
date all interest on said bonds will cease to accrue. Holders of the bonds hereby called for redemption are
requested to present their bonds for payment at the main office of U.S. Bank National Association, Saint
Paul, Minnesota, at the following address, on or before February 1, 2022:
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If by mail:
U.S. Bank National Association
Corporate Trust Operations, 3" Floor
P.O. Box 64111
St. Paul, MN 55164-0111
If by hand or overnight:
U.S. Bank National Association
60 Livingston Avenue
EP-MN-WS3C
Bond Drop Window, Is'Floor
St. Paul, MN 55107
E1
Important Notice: In compliance with the Jobs and Growth Tax Relief Reconciliation Act of 2003,
the Trustee is required to withhold a specified percentage of the principal amount of the redemption price
payable to the holder of any bonds subject to redemption and prepayment on the redemption date, unless
the Trustee is provided with the Social Security Number or Federal Employer Identification Number of the
holder, properly certified. Submission of a fully executed Request for Taxpayer Identification Number and
Certification, Form W-9 (Rev. December 2011), will satisfy the requirements of this paragraph.
Dated: , 2021.
Seconded by Councilmember Knutson
The motion passed.
BY ORDER OF THE CITY COUNCIL
By /s/ Melinda Coleman
City Manager
City of Maplewood, Minnesota
2. Award of 2022 Charitable Gambling Funds
City Manager Coleman gave the staff report.
Ayes — All
Councilmember Knutson moved to approve the proposed award amounts below.
Organization
Recommended
Award
CHILD, Inc.
$
4,200.00
ISD 622 Education Foundation Angel Fund
$
1,000.00
ISD 622 Gladstone Meals on Wheels
$
5,000.00
ISD 622 Gladstone Senior Center
$
2,380.00
LC Webster Elementary School
$
2,730.00
Our Redeemer Lutheran Church
$
7,230.00
Tubman Family Alliance
$
7,460.00
Seconded by Councilmember Cave Ayes — All
The motion passed.
J. NEW BUSINESS
1. Retail Theft Diversion Program Contract
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Lieutenant Steiner addressed the council and introduce the item. John McCullough,
President with Diversion Solutions, gave the presentation.
Councilmember Juenemann moved to approve the Retail Theft Diversion Program
Contract and follow-up report after one year.
Seconded by Councilmember Cave Ayes — All
The motion passed.
2. Lower Afton Apartments, 2501 Londin Lane
a. Zoning Map Amendment Ordinance
b. Conditional Use Permit Resolution
c. Design Review Resolution
Community Development Director Thomson gave the presentation. Jon Jarosch,
Assistant City Engineer provided additional information. Alex Bisanz, Partner with Real
Estate Equities, addressed council and gave a presentation on the project.
Councilmember Villavicencio left during the presentation.
The following residents spoke:
Herb Goetsch — 2455 Londin Lane E, # 314
John Parnell — 2485 Londin Lane E, #215
Councilmember Knutson moved to approve an ordinance amending the City's zoning
map to rezone the property from F, farm residence to R-3, multiple dwelling.
Ordinance 1024
AN ORDINANCE REZONING THE PROPERTY AT 2501 LONDIN LANE EAST FROM F,
SINGLE FARM RESIDENCE DISTRICT, TO R-3, MULTIPLE DWELLING DISTRICT
The City Of Maplewood, Minnesota Ordains:
Section 1.
1.01 The property at 2501 Londin Lane East is hereby rezoned from F, farm
residence district, to R-3, multiple dwelling district.
1.02 The property is legally described as:
PIN: 122822120001 — That part of the Northwest Quarter of the Northeast
Quarter of Section 12, Township 28 North, Range 22 West, according to
the U.S. Government Survey thereof, lying Southwesterly of New Lower
Afton Road and Northerly and Northwesterly of Londin Lane.
Section 2.
2.01 This ordinance is based on the following findings:
The rezoning to R-3, multiple dwelling district would result in a
development compatible with the existing surrounding development
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type and intensity.
2. The rezoning would be consistent with the intent of the zoning
ordinance and the comprehensive guide plan.
3. The rezoning would be consistent with public health, safety, and
welfare.
2.02 This ordinance is subject to the following conditions:
1. The site must be developed and maintained in substantial
conformance with the following plans:
a. Site plan, date-stamped September 3, 2021.
b. Design plans, date-stamped September 3, 2021.
2. The development must further comply with all conditions outlined in
City Council Resolution No. 21-10-2003 for a conditional use permit
approved by the Maplewood City Council on October 25, 2021.
Section 3. This ordinance is effective upon publication in the city's official newspaper.
Seconded by Councilmember Juenemann Ayes — Mayor Abrams
Councilmember Cave
Councilmember Juenemann
Councilmember Knutson
Absent — Councilmember Villavicencio
The motion passed.
Councilmember Knutson moved to approve a resolution for a conditional use permit.
Resolution 21-10-2003
CONDITIONAL USE PERMIT RESOLUTION
BE IT RESOLVED by the City Council of the City of Maplewood, Minnesota, as
follows:
Section 1. Background.
1.01 Ian Schwickert of Real Estate Equities has requested approval of a
conditional use permit.
1.02 The property is located at 2501 Londin Lane East and is legally described
as:
PIN: 122822120001 — That part of the Northwest Quarter of the Northeast
Quarter of Section 12, Township 28 North, Range 22 West, according to
the U.S. Government Survey thereof, lying Southwesterly of New Lower
Afton Road and Northerly and Northwesterly of Londin Lane.
Section 2. Standards.
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2.01 City Ordinance Section 44-359 requires a Conditional Use Permit for
multiple dwelling buildings that exceed a height of 35 feet.
2.02 General Conditional Use Permit Standards. City Ordinance Section 44-
1097(a) states that the City Council must base approval of a Conditional
Use Permit on the following nine standards for approval.
The use would be located, designed, maintained, constructed and
operated to be in conformity with the City's Comprehensive Plan and
Code of Ordinances.
2. The use would not change the existing or planned character of the
surrounding area.
3. The use would not depreciate property values.
4. The use would not involve any activity, process, materials, equipment
or methods of operation that would be dangerous, hazardous,
detrimental, disturbing or cause a nuisance to any person or property,
because of excessive noise, glare, smoke, dust, odor, fumes, water or
air pollution, drainage, water run-off, vibration, general unsightliness,
electrical interference or other nuisances.
5. The use would not exceed the design standards of any affected
street.
6. The use would be served by adequate public facilities and services,
including streets, police and fire protection, drainage structures, water
and sewer systems, schools and parks.
7. The use would not create excessive additional costs for public
facilities or services.
8. The use would maximize the preservation of and incorporate the site's
natural and scenic features into the development design.
9. The use would cause minimal adverse environmental effects.
Section 3. Findings.
3.01 The proposal meets the specific conditional use permit standards.
Section 4. City Review Process
4.01 The City conducted the following review when considering the conditional
use permit for a planned unit development amendment request.
On September 21, 2021, the planning commission held a public
hearing. City staff published a hearing notice in the Pioneer Press and
sent notices to the surrounding property owners. The planning
commission gave everyone at the hearing a chance to speak and
present written statements. The planning commission recommended
that the city council approve this resolution.
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2. On October 25, 2021, the city council discussed this resolution. They
considered reports and recommendations from the planning
commission and city staff.
Section 5. City Council
5.01 The city council hereby approves the resolution. Approval is based on the
findings outlined in section 3 of this resolution. Approval is subject to the
following conditions:
All construction shall follow the approved plans, date-stamped
September 3, 2021. The director of community development may
approve minor changes.
2. The proposed construction must be substantially started within one
year of council approval or the permit shall become null and void.
3. The city council shall review this permit in one year.
Seconded by Councilmember Cave Ayes — Mayor Abrams
Councilmember Cave
Councilmember Juenemann
Councilmember Knutson
Absent — Councilmember Villavicencio
The motion passed.
Councilmember Knutson moved to approve a resolution for design review.
Resolution 21-10-2004
DESIGN REVIEW RESOLUTION
Be it resolved by the City Council of the City of Maplewood, Minnesota, as follows:
Section 1. Background.
1.01 Ian Schwickert of Real Estate Equities has requested approval of a design
review.
1.02 The property is located at 2501 Londin Lane East and is legally described
as:
PIN: 122822120001 — That part of the Northwest Quarter of the Northeast
Quarter of Section 12, Township 28 North, Range 22 West, according to
the U.S. Government Survey thereof, lying Southwesterly of New Lower
Afton Road and Northerly and Northwesterly of Londin Lane.
1.03 On September 21, 2021, the community design review board reviewed this
request. The applicant was provided the opportunity to present information
to the community design review board. The community design review
board considered all of the comments received and the staff report, which
are incorporated by reference into this resolution.
Section 2. Site and Building Plan Standards and Findings.
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2.01 City ordinance Section 2-290(b) requires that the community design review
board make the following findings to approve plans:
That the design and location of the proposed development and its
relationship to neighboring, existing or proposed developments and
traffic is such that it will not impair the desirability of investment or
occupation in the neighborhood; that it will not unreasonably interfere
with the use and enjoyment of neighboring, existing or proposed
developments; and that it will not create traffic hazards or congestion.
2. That the design and location of the proposed development are in
keeping with the character of the surrounding neighborhood and are
not detrimental to the harmonious, orderly and attractive development
contemplated by this article and the city's comprehensive municipal
plan.
3. That the design and location of the proposed development would
provide a desirable environment for its occupants, as well as for its
neighbors, and that it is aesthetically of good composition, materials,
textures and colors.
Section 3. City Council Action.
3.01 The above-described site and design plans are hereby approved based
on the findings outlined in Section 3 of this resolution. Subject to staff
approval, the site must be developed and maintained in substantial
conformance with the design plans date-stamped September 3, 2021.
Approval is subject to the applicant doing the following:
Obtain a conditional use permit from the city council for this project.
2. Repeat this review in two years if the city has not issued a building
permit for this project.
3. All requirements of the fire marshal and building official must be met.
4. Satisfy the requirements set forth in the engineering review authored
by Jon Jarosch, dated September 9, 2021.
5. Satisfy the requirements set forth in the environmental review
authored by Shann Finwall and Carole Gernes, dated September 13,
2021.
6. The applicant shall obtain all required permits from the Ramsey -
Washington Metro Watershed District.
7. Rooftop vents and equipment shall be located out of view from all
sides of the property.
8. Any identification or monument signs for the project must meet the
requirements of the city's sign ordinance. Identification or monument
signs shall be designed to be consistent with the project's building
materials and colors.
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9. Prior to the issuance of a building permit, the applicant shall submit for
staff approval the following items:
a. The applicant shall provide the city with a cash escrow or an
irrevocable letter of credit for all required exterior improvements.
The amount shall be 150 percent of the cost of the work.
b. Submit to staff a screening plan detailing that all ordinance
requirements are met in terms of screening on the west side of
the west parking lot.
c. The applicant must submit site geotechnical analysis for review
by the Building Official and City Engineer. The applicant must
meet the requirements of the Minnesota Building Code and any
dewatering must not adversely impact adjacent properties.
d. The applicant shall provide a revised site plan showing all
Ramsey County Public Works requirements have been meet.
This includes addressing the County's requirements for a
sidewalk along Lower Afton Road, the installation of a median
refuge island and Rectangular Rapid Flashing Beacon and a right
turn lane from Lower Afton Road onto Londin Lane.
10. The applicant shall complete the following before occupying the
building:
a. Replace any property irons removed because of this
construction.
b. Provide continuous concrete curb and gutter around the parking
lot and driveways.
c. Install all required landscaping and an in -ground lawn irrigation
system for all landscaped areas.
d. Install all required outdoor lighting.
e. Install all required sidewalks and trails.
11. If any required work is not done, the city may allow temporary
occupancy if:
a. The city determines that the work is not essential to public health,
safety or welfare.
b. The above -required letter of credit or cash escrow is held by the
City of Maplewood for all required exterior improvements. The
owner or contractor shall complete any unfinished exterior
improvements by June 1 of the following year if occupancy of the
building is in the fall or winter or within six weeks of occupancy of
the building if occupancy is in the spring or summer.
12. All work shall follow the approved plans. The director of community
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development may approve minor changes.
13. The applicant shall submit revised elevations showing the color -
matched down spouts along with a transition band between the seam
in the block and the upper building materials to ensure there is a nice
transition.
14. The City Engineer shall review and make a determination on the need
of a crosswalk from Sterling Street across Londin Lane to the
development site
Seconded by Councilmember Juenemann Ayes — Mayor Abrams
Councilmember Cave
Councilmember Juenemann
Councilmember Knutson
Absent — Councilmember Villavicencio
The motion passed.
3. Wetland Buffer Variance Resolution, Single -Family House, 1091 County Road C
Environmental Planner Finwall gave the staff report. Justin Haynes and Katie Schurrer,
owners and applicants, addressed council and provided further information.
Councilmember Juenemann moved to approve a resolution for a 45 -foot wetland buffer
variance for a new sinale-familv house at 1091 Countv Road C.
Resolution 21-10-2005
VARIANCE RESOLUTION
WHEREAS, Katie Schurrer and Justin Haynes applied for a variance from the
wetland ordinance.
WHEREAS, this variance applies to the property located at 1091 County Road C,
Maplewood, MN. The property identification number is 04-29-22-43-0006. The legal
description is the West 76 feet of the East 356 feet of the West half of the SW 1/4 of the
SE 1/4 of Section 4, Township 29, Range 22, Ramsey County, Minnesota.
WHEREAS, the applicants are proposing to construct a single-family house and
grading for the house to within 30 feet of a Manage A wetland adjacent a lake, requiring a
45 -foot wetland buffer variance.
WHEREAS, the history of this variance is as follows:
On September 20, 2021, the Environmental and Natural Resources
Commission reviewed the variance and recommended approval of the
wetland buffer variance to the Planning Commission and City Council.
2. On October 19, 2021, the Planning Commission held a public hearing to
review this proposal. City staff published a notice in the paper and sent
notices to the surrounding property owners as required by law. The
Planning Commission gave everyone at the hearing a chance to speak
and present written statements. The Planning Commission also
considered the report and recommendation of the city staff and
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Environmental and Natural Resources Commission. The Planning
Commission recommended approval of the wetland buffer variance to the
City Council.
3. The City Council held a public meeting on October 25, 2021, to review this
proposal. The City Council considered the report and recommendations of
the city staff, the Environmental and Natural Resources Commission, and
the Planning Commission.
NOW, THEREFORE, BE IT RESOLVED that the City Council approve the above-
described variance based on the following reasons:
The property is zoned and guided as single-family residential. The
property will be used in a reasonable manner as a single-family house.
2. The lot is a pre-existing platted lot located adjacent a wetland. The original
house was built 83 years ago, prior to the City's wetland buffer ordinance.
That house was a pre-existing nonconforming structure because it
encroached into the wetland buffer. Strict enforcement of the ordinance
would prohibit the building of most types of new permanent structures on
the lot, substantially diminishing the potential of this lot. These are
circumstances unique to this property.
3. The lot is surrounded by other single-family houses that are located
adjacent the wetland with access to Kohlman Lake. Approval of the
wetland buffer variance will include the restoration of 1,000 square feet of
wetland buffer to native plants, which will improve the water quality and
wildlife habitat of the wetland. The placement of the single-family house
and wetland buffer variance will not alter the essential character of the
neighborhood.
Approval of the wetland buffer variance shall be subject to the following:
Prior to issuance of a grading permit for the new single-family house the
applicants must submit:
a. Tree Plan: A tree plan which shows the location, size, and species
of all significant trees located on the lot, and the trees that will be
removed with the construction of the new single family house.
Removal of significant trees with the construction of the single-
family house must comply with the City's tree preservation
ordinance and tree replacement requirements.
b. Wetland Buffer Restoration: A wetland buffer restoration plan to be
approved by City staff. The restoration plan will reflect native
plantings within a 1,000 square foot area adjacent the wetland.
C. Wetland Buffer Signs: A wetland buffer sign plan showing the
installation of at least two wetland buffer signs on the south side of
restored wetland buffer native plant area. The signs identify the
wetland buffer and state that no mowing, cutting, building, or
grading is allowed in the wetland buffer. The City supplies the signs
at a cost of $35 per sign. The applicant must install the signs once
the native plantings are complete.
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d. Driveway: Applicants must obtain a driveway permit from Ramsey
County. The driveway must meet the County and City driveway
code requirements. City code allows hard surface (driveways) in
the front yard to cover no more than 40 percent of the front yard.
The driveway width at the entrance is limited to 32 feet and the
maximum total driveway width of the two entrances cannot exceed
32 feet.
e. Dock: Any future deck must meet the Department of Natural
Resources Docks and Access in Public Water requirements and
the City of Maplewood wetland ordinance public water access
requirements.
Escrows: A tree and wetland buffer escrow. The tree escrow is
$60 per caliper inch of tree required to be replaced. The wetland
buffer escrow is 150 percent of the cost of the wetland buffer
restoration.
2. Prior to release of the escrow, any replacement trees required must be
planted with a one-year warranty and the wetland buffer plantings must be
established.
Seconded by Councilmember Cave Ayes — Mayor Abrams
Councilmember Cave
Councilmember Juenemann
Councilmember Knutson
Absent — Councilmember Villavicencio
The motion passed.
K. AWARD OF BIDS
None
L. ADJOURNMENT
Mayor Abrams adjourned the meeting at 9:39 p.m.
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Fla
CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2021
REPORT TO: City Council
REPORT FROM: Melinda Coleman, City Manager
PRESENTER: Melinda Coleman, City Manager
AGENDA ITEM: Council Calendar Update
Action Requested: ❑ Motion ✓ Discussion ❑ Public Hearing
Form of Action: ❑ Resolution ❑ Ordinance ❑ Contract/Agreement ❑ Proclamation
Policy Issue:
This item is informational and intended to provide the Council an indication on the current planning for
upcoming agenda items and the Work Session schedule. These are not official announcements of the
meetings, but a snapshot look at the upcoming meetings for the City Council to plan their calendars.
Recommended Action:
No motion needed. This is an informational item.
Upcoming Agenda Items and Work Sessions Schedule:
Nov. 22 Council: Presentation of Heritage Award; Strategic Plan Update
Dec. 13 Council: Approval of 2022 Budget
Council Comments:
Comments regarding Workshops, Council Meetings or other topics of concern or interest.
1. Parking Space Requirement Review (2/8/21)
2. Goats and Buckthorn Removal (6/14/21)
3. Review Garbage / Recycling Carts Screening and Storage Ordinance (8/23/21)
4. Review Requirements / law on Zoom vs. live City Council and Commission Meetings
(9/27/21)
Council Schedule for Maplewood Living March 2021 — May 2022:
Publication Month
Author
Article Due Date
December 2021
City manager report
November 16
January 2022
Marylee Abrams
December 17
February 2022
Kathleen Juenemann
January 21
March 2022
Bill Knutson
February 18
April 2022
Nikki Villavicencio
March 18
May 2022
Rebecca Cave
April 15
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CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2021
REPORT TO: Melinda Coleman, City Manager
REPORT FROM: Brian Bierdeman, Public Safety Director
PRESENTER: Brian Bierdeman, Public Safety Director
AGENDA ITEM: Swearing -In Ceremony — Police Officers Jeremiah Johnson and Joseph
Pasdo
Action Requested: ❑ Motion ✓ Discussion ❑ Public Hearing
Form of Action: ❑ Resolution ❑ Ordinance ❑ Contract/Agreement ❑ Proclamation
Policy Issue:
Police Officer candidates Jeremiah Johnson and Joseph Pasdo will be sworn in as they begin their
careers as Officers with the Maplewood Police Department.
Recommended Action:
For presentation purposes only.
Fiscal Impact:
Is There a Fiscal Impact? ✓ No ❑ Yes, the true or estimated cost is $0.00
Financing source(s): ❑ Adopted Budget ❑ Budget Modification ❑ New Revenue Source
❑ Use of Reserves ❑ Other: N/A
Strategic Plan Relevance:
❑ Financial Sustainability ❑ Integrated Communication ❑ Targeted Redevelopment
✓ Operational Effectiveness ❑ Community Inclusiveness ❑ Infrastructure & Asset Mgmt.
N/A
Background:
Jeremy Johnson was born in Menomonie, Wisconsin, and moved to Huntsville, Alabama when he
was 5 years old. After spending a handful of years in Alabama with his family, Jeremy and his
family moved back to the Menomonie area before leaving to attend college at Winona State
University in Winona Minnesota.
Before attending Winona State, Jeremy obtained his Associate's degree in Computer Information
Systems at Chippewa Valley Technical College in 2005. Jeremy then proceeded to receive his
Bachelor's degree in Management Information Systems from Winona State in 2009 and began his
career in the IT field, which spanned more than a decade before joining the Maplewood Police
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F3
Department as a volunteer Police Reserve Officer in 2019. Jeremy has always had an interest in
Law Enforcement and has several close friends in the profession, and in early 2019 while serving
as a Reserve, Jeremy realized that Law Enforcement was the career for him. Jeremy began
attending Metro State to obtain his Law Enforcement Certificate in the summer of 2019. Jeremy
was able to complete his Certificate program and complete the Skills portion of the program in the
summer of 2020.
Jeremy has been fortunate enough to take annual ride alongs with some of his close friends in Law
Enforcement and see first-hand how Police Officers can make a positive impact in their community.
Jeremy credits these experiences as a driving force to make the career transition to Law
Enforcement, and put his extensive customer service driven background to good use in serving the
community of Maplewood. Jeremy is excited to begin his career as a Maplewood Police Officer and
serve the community by building positive relationships, by being professional, transparent, and
developing trust with community members.
Jeremy recently celebrated his 5 year wedding anniversary with his wife Nicole. They have 2 sons
together, Bryce who is 3.5 years old and Cade, who is 17 months old.
Joseph Pasdo is the eldest of five children in his family. He grew up in Fridley and later moved to
White Bear Lake, where he currently resides with his family. Joseph graduated from Mounds View
High School and went on to attend both Century College and Hennepin Technical College, where
he earned his Law Enforcement Degree. Joseph was employed with the Security Department at
Bethesda Hospital and he saw this as a great opportunity to gain more law enforcement related
experience. After starting part-time at Bethesda Hospital, he was able to cross -train at different
campuses across the Healtheast system, which offered him great hands-on experience responding
to a variety of calls and allowed him expand his de-escalation communication and judgement skills.
In May of 2021, Joseph began working with the Maplewood Police Department as a Part Time
Community Service Officer. Joseph sought out this position in order to gain experience with a
police department and has determined that the Maplewood Police Department has a great culture
in which community oriented policing and proactive/problem oriented policing are emphasized.
Joseph has been most impressed with the interaction he has seen between department members
and the community and this is in line with his own personal philosophies. Joseph is an outgoing
person, who values being a good role model for others and fostering good relationships with those
around him. Joseph has several family members who have served in law enforcement and he is
eager to follow in their footsteps.
In his free time, Joseph enjoys camping, fishing, hunting, reading books, watching movies and
spending time with family and friends. Joseph is looking forward to beginning his career in law
enforcement and being a part of the positive future of law enforcement.
Attachments:
None.
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CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2021
REPORT TO: Melinda Coleman, City Manager
REPORT FROM: Brian Bierdeman, Public Safety Director
PRESENTER: Brian Bierdeman, Public Safety Director
AGENDA ITEM: Swearing -In Ceremony — Police Lieutenant Michael Hoemke
Action Requested: ❑ Motion ✓ Discussion ❑ Public Hearing
Form of Action: ❑ Resolution ❑ Ordinance ❑ Contract/Agreement ❑ Proclamation
Policy Issue:
Police Lieutenant Michael Hoemke will be sworn in as he advances his career with the Maplewood
Police Department.
Recommended Action:
For presentation purposes only.
Fiscal Impact:
Is There a Fiscal Impact? ✓ No ❑ Yes, the true or estimated cost is $0.00
Financing source(s): ❑ Adopted Budget ❑ Budget Modification ❑ New Revenue Source
❑ Use of Reserves ❑ Other: N/A
Strategic Plan Relevance:
❑ Financial Sustainability ❑ Integrated Communication ❑ Targeted Redevelopment
✓ Operational Effectiveness ❑ Community Inclusiveness ❑ Infrastructure & Asset Mgmt.
N/A
Background:
Michael Hoemke grew up in New Prague, MN where he enjoyed competing in sports and being
outdoors. He graduated from the University of Minnesota in 2010 with a Bachelor's Degree in
Sociology — Law and Criminal Deviance.
After graduating he chose to join the Minnesota Army National Guard where he was commissioned
as an Infantry Officer in 2011. Mike has served on two deployments in the last 5 years and has over
11 years of Military service. He is currently assigned as an Assistant Operations Officer for an
Infantry Battalion and plans to complete a 20 year career in the MN Army National Guard.
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Mike began his career with the Maplewood Police Department in December 2013. Mike was a hard
working officer during his time on patrol and attributes the majority of the skill set he developed from
working with and learning from a group of talented and dedicated officers. In 2015, Mike became a
Firearms / Use of Force Instructor and has taken a very active role in developing and administering
Use of Force Training department wide, including becoming a certified De -Escalation Instructor in
2018. Mike also became a Field Training Officer in 2018, serving in a critical and impactful role on
the development of the next generation of officers. In 2019 Mike served in the Street Crimes Unit for
a few months gaining valuable investigative experience before he was promoted to Sergeant. As a
Sergeant Mike had the opportunity to supervise both the afternoon and night crews. Sergeants are
the front line supervisors for patrol, and although this may be one of the most challenging roles in
the Police Department it is also the most rewarding and Mike says in this role, he learned the most
valuable lessons about leadership.
Mike has taken an active role in helping to drive the direction of the department on a path towards
effective leadership and community outreach. He has served as a Union Steward, Labor
Management Committee Member, and a member of the department's 2019, 2020, and 2021
Strategic Planning Committee.
Throughout his career Mike has always made an effort to develop a positive relationship with the
community and has been acknowledged on several occasions by members of the community for his
professionalism. Mike said one of the great things about the Maplewood Community is the support
shown for Law Enforcement Officers. Mike said he appreciates that the community is engaged and
active in building a positive relationship with the Maplewood Police Officers and this is evident by
their overwhelming participation in Community Outreach Events. Mike said he is eager to take on
the challenges of his new role and is looking forward to continuing to serve the community in
Maplewood.
In addition to both his career in law enforcement and in the military Mike is also co-owner of 2
CrossFit gyms. Mike attributes much of his success and his ability to manage all 3 careers to his
very understanding and supportive wife, Danielle, and the rest of his family who provide their
unwavering support.
Attachments:
None.
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CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2021
REPORT TO: Melinda Coleman, City Manager
REPORT FROM: Brian Bierdeman, Public Safety Director
PRESENTER: Brian Bierdeman, Public Safety Director
AGENDA ITEM: Swearing -In Ceremony — Police Deputy Chief Daniel Busack
Action Requested: ❑ Motion ✓ Discussion ❑ Public Hearing
Form of Action: ❑ Resolution ❑ Ordinance ❑ Contract/Agreement ❑ Proclamation
Policy Issue:
Police Deputy Chief Daniel Busack will be sworn in as he advances his career in Administration
with the Maplewood Police Department.
Recommended Action:
For presentation purposes only.
Fiscal Impact:
Is There a Fiscal Impact? ✓ No ❑ Yes, the true or estimated cost is $0.00
Financing source(s): ❑ Adopted Budget ❑ Budget Modification ❑ New Revenue Source
❑ Use of Reserves ❑ Other: N/A
Strategic Plan Relevance:
❑ Financial Sustainability ❑ Integrated Communication ❑ Targeted Redevelopment
✓ Operational Effectiveness ❑ Community Inclusiveness ❑ Infrastructure & Asset Mgmt.
N/A
Background:
Deputy Chief Daniel Busack was hired as a police officer on August 9, 1999 with the Maplewood
Police Department. He was promoted to sergeant in September of 2007, and lieutenant in April of
2019. During his time at the Maplewood Police Department, he has served as a Field Training
Officer, Firearms Instructor, Use of Force Program Coordinator, Field Training Officer Coordinator,
and has supervised our Investigations Division as both a sergeant and as a lieutenant. He has been
deeply involved in the police department's strategic planning and worked with others to create the
Multi -Cultural Advisory Committee, which he now leads. Dan is additionally active with Big Brothers
Big Sisters and oversees our City's school based program.
Packet Page Number 49 of 78
F5
Attachments:
None.
Packet Page Number 50 of 78
13
CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2021
REPORT TO: Melinda Coleman, City Manager
REPORT FROM: Jeff Thomson, Community Development Director
PRESENTER: Jeff Thomson, Community Development Director
AGENDA ITEM: Resolution of Appreciation for HEDC Commissioner Dennis Unger
Action Requested: ✓ Motion ❑ Discussion ❑ Public Hearing
Form of Action: ✓ Resolution ❑ Ordinance ❑ Contract/Agreement ❑ Proclamation
Policy Issue:
When commissioners end their time and service on a board or commission, the city considers a
resolution of appreciation recognizing the individual for their service to the City of Maplewood.
Recommended Action:
Motion to adopt the Resolution of Appreciation for Dennis Unger.
Fiscal Impact:
Is There a Fiscal Impact? ✓ No ❑ Yes, the true or estimated cost is $0.00
Financing source(s): ❑ Adopted Budget ❑ Budget Modification ❑ New Revenue Source
❑ Use of Reserves ❑ Other: N/A
Strategic Plan Relevance:
❑ Financial Sustainability ❑ Integrated Communication ❑ Targeted Redevelopment
✓ Operational Effectiveness ❑ Community Inclusiveness ❑ Infrastructure & Asset Mgmt.
The City of Maplewood appreciates its citizen volunteers who serve on the city's boards and
commissions and works to provide recognition for members upon resignation.
Background
Dennis Unger's term on the Housing and Economic Development Commission ended on September
30, 2021 and Mr. Unger decided not to apply for reappointment to the commission. Mr. Unger served
on the commission since July 2011. HEDC reviewed the resolution at its meeting on October 21,
2021 and unanimously recommended its adoption.
Attachments
1. Resolution of Appreciation
Packet Page Number 51 of 78
F6, Attachment 1
RESOLUTION OF APPRECIATION
WHEREAS, Dennis Unger has been a member of the Maplewood Housing and Economic
Development Commission for 10 years, serving from July 2011 to September 2021; and
WHEREAS, the Housing and Economic Development Commission and the City Council
appreciate his experience, insights, and good judgment; and
WHEREAS, Mr. Unger has freely given of his time and energy, without compensation, for
the betterment of the City of Maplewood; and
WHEREAS, Mr. Unger has shown dedication to his duties and has consistently contributed
his leadership and efforts for the benefits of the City;
NOW, THEREFORE, IT IS HEREBY RESOLVED for and on behalf of the City of
Maplewood, Minnesota, and its citizens that Dennis Unger is hereby extended our gratitude and
appreciation for his dedicated service.
Adopted by the Maplewood City Council on November 8, 2021
Marylee Abrams, Mayor
Attest:
Andrea Sindt, City Clerk
Packet Page Number 52 of 78
G1
CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2021
REPORT TO: Melinda Coleman, City Manager
REPORT FROM: Ellen Paulseth, Finance Director
PRESENTER: Ellen Paulseth, Finance Director
AGENDA ITEM: Approval of Claims
Action Requested: ✓ Motion ❑ Discussion ❑ Public Hearing
Form of Action: ❑ Resolution ❑ Ordinance ❑ Contract/Agreement ❑ Proclamation
Policy Issue:
The City Manager has reviewed the bills and authorized payment in accordance with City Council policies
Recommended Action:
Motion to approve the approval of claims.
ACCOUNTS PAYABLE
$
1,479,907.37
Checks # 108085 thru # 108134
dated 10/26/21
$
1,113,874.64
Checks # 108136 thru # 108164
dated 11/02/21
$
899,280.12
Disbursements via debits to checking account
dated 10/18/21 thru 10/31/21
$
3,493,062.13
Total Accounts Payable
PAYROLL
$
622,492.04
Payroll Checks and Direct Deposits dated 10/29/21
$
Total Payroll
622,492.04
$ 4,115,554.17 GRAND TOTAL
Background
A detailed listing of these claim has been provided. Please call me at 651-249-2902 if you have any questions on
the attached listing. This will allow me to check the supporting documentation on file if necessary.
Attachments
1. Listing of Paid Bills
Packet Page Number 53 of 78
G1, Attachments
Check Register
City of Maplewood
Check
Date
Vendor
Description
Amount
108085
10/14/2021
00986
METROPOLITAN COUNCIL
MONTHLY SAC - JULY
22,365.00
108086
10/14/2021
02034
ASSOC FOR NONSMOKERS - MN
TOBACCO COMPLIANCE PROJECT
2,262.00
108087
10/26/2021
05114
BOLTON & MENK, INC.
PROJ 16-25 STERLING ST BRIDGE
21,221.00
10/26/2021
05114
BOLTON & MENK, INC.
PROJ 21-02 MCMENEMY STREET IMP
12,313.00
10/26/2021
05114
BOLTON & MENK, INC.
GENERAL GIS ASSISTANCE
3,570.00
10/26/2021
05114
BOLTON & MENK, INC.
GENERAL GIS ASSISTANCE
510.00
10/26/2021
05114
BOLTON & MENK, INC.
PROJ 19-22 CO RD B & ARCADE
432.50
108088
10/26/2021
03067
CRAIG RAPP LLC
CONSULTANT FOR COUNCIL RETREAT
6,865.00
108089
10/26/2021
00687
HUGO'S TREE CARE INC
TREE REMOVAL - BEAVER CREEK
1,400.00
10/26/2021
00687
HUGO'S TREE CARE INC
TREE REMOVAL-APPLEWOOD PRESERVE
525.00
10/26/2021
00687
HUGO'S TREE CARE INC
STUMP GRINDING - 777 BARTELMY
126.00
10/26/2021
00687
HUGO'S TREE CARE INC
STUMP GRINDING - 550 ROSELAWN
105.00
108090
10/26/2021
06084
LINCOLN FINANCIAL GROUP
MONTHLY PREMIUM - OCTOBER
8,405.29
108091
10/26/2021
00985
METROPOLITAN COUNCIL
WASTEWATER - NOVEMBER
303,460.53
108092
10/26/2021
01202
NYSTROM PUBLISHING CO INC
MAPLEWOOD LIVING - OCTOBER
7,746.99
108093
10/26/2021
01337
RAMSEY COUNTY -PROP REC & REV
911 DISPATCH SERVICES -SEPTEMBER
38,891.45
10/26/2021
01337
RAMSEY COUNTY -PROP REC & REV
CAD SERVICES - SEPTEMBER
5,327.37
10/26/2021
01337
RAMSEY COUNTY -PROP REC & REV
FLEET SUPPORT FEES - SEPTEMBER
726.96
108094
10/26/2021
01574
T A SCHIFSKY & SONS, INC
BITUMINOUS MATERIALS
22,074.75
10/26/2021
01574
TA SCHIFSKY &SONS, INC
BITUMINOUS MATERIALS
1,703.16
108095
10/26/2021
04845
TENNIS SANITATION LLC
RECYCLING FEE - SEPTEMBER
66,414.68
10/26/2021
04845
TENNIS SANITATION LLC
RECYCLING FEE -ADD'L JAN -JULY
27,116.25
108096
10/26/2021
01819
WINDSTREAM
LOCAL PHONE SERVICE 09/15 - 10/14
594.28
108097
10/26/2021
01190
XCEL ENERGY
ELECTRIC & GAS UTILITY
3,519.55
10/26/2021
01190
XCEL ENERGY
ELECTRIC & GAS UTILITY
2,528.49
10/26/2021
01190
XCEL ENERGY
ELECTRIC & GAS UTILITY
275.53
10/26/2021
01190
XCEL ENERGY
FIRE SIRENS
54.28
108098
10/26/2021
05013
YALE MECHANICAL LLC
PROJ 21-11 EMERGENCY GENERATOR
2,418.41
10/26/2021
05013
YALE MECHANICAL LLC
REPAIRS - MNC
2,200.00
10/26/2021
05013
YALE MECHANICAL LLC
SUMMER HVAC MAINT - NATURE CENTER
287.75
108099
10/26/2021
05761
YMCA
EMPLOYEE MEMBERSHIPS -JUNE
1,016.00
10/26/2021
05761
YMCA
EMPLOYEE MEMBERSHIPS -JULY
983.00
10/26/2021
05761
YMCA
EMPLOYEE MEMBERSHIPS -SEPTEMBER
930.00
10/26/2021
05761
YMCA
EMPLOYEE MEMBERSHIPS -AUGUST
910.00
108100
10/26/2021
02193
APOLLO HEATING & VENTILATING
REFUND APOLLO - PERMIT
129.00
108101
10/26/2021
04848
AVESIS
MONTHLY PREMIUM - NOVEMBER
432.27
108102
10/26/2021
05972
BHE COMMUNITY SOLAR, LLC
COMMUNITY SOLAR AGREEMENT -AUG
9,837.13
108103
10/26/2021
06030
CENTENNIAL FLOORING
FLOORING INSTALL PD #312
2,745.00
108104
10/26/2021
05823
CENTURYLINK
ANALOG LINE FOR POLICE FAX MACHINE
71.65
108105
10/26/2021
06275
CONVERGINT TECHNOLOGIES
ARPA GRANT SECURITY CAMERAS MALL
40,000.00
108106
10/26/2021
00464
EMERGENCY AUTOMOTIVE TECH, INC
PARTS FOR ARROWBOARD TRUCKS
429.20
108107
10/26/2021
00003
ESCROW REFUND
ESCROW REL SLATE RETAIL - HY-VEE
344,678.75
108108
10/26/2021
00003
ESCROW REFUND
ESCROW REL CALCO - 2187 MCAFEE CIR
3,500.00
108109
10/26/2021
05934
FIELD TRAINING SOLUTIONS
TRAINING COURSE - N SWETALA
295.00
108110
10/26/2021
06274
HERO
SEWER SERVICE LINE REPAIR
4,637.27
108111
10/26/2021
00671
HIRSHFIELD'S
TOTE OF ATHLETIC FIELD MARKING PAINT
2,001.75
108112
10/26/2021
03330
HOISINGTON KOEGLER GROUP INC
ZONING ORDINANCE UPDATE
1,338.52
108113
10/26/2021
05533
KIRVIDA FIRE
REPAIRS TO E323
465.19
108114
10/26/2021
00827
L M C I T
WC CLAIM #00453412
3,888.12
108115
10/26/2021
00896
M C M A
MEMBERSHIP FEE - M COLEMAN
285.00
108116
10/26/2021
00532
MADDEN GALANTER HANSEN, LLP
HR LEGAL FEES ARB & ADMIN - SEPT
361.00
10/26/2021
00532
MADDEN GALANTER HANSEN, LLP
HR ATTORNEY FEE LABOR REL -SEPT
349.40
108117
10/26/2021
01136
NARDINI FIRE EQUIP CO INC
ALARM SYSTEM REPLACEMENT - 1902
13,500.00
108118
10/26/2021
01126
NCPERS GROUP LIFE INS. MN
MONTHLY PREMIUM - OCTOBER
528.00
Packet Page Number 54 of 78
G1, Attachments
108119
10/26/2021
01175
CITY OF NORTH ST PAUL
MONTHLY UTILITIES - SEPTEMBER
4,036.35
108120
10/26/2021
04092
NORTHWEST ASPHALT, INC.
PROJ 20-09 SOUTHCREST-FERNDALE
421,825.03
108121
10/26/2021
00001
ONE TIME VENDOR
REIMB T SAUKA - SPRINKLER SYS REPAIR
575.64
108122
10/26/2021
00001
ONE TIME VENDOR
REIMB C WANG ERIN -DRIVEWAY APRON
519.36
108123
10/26/2021
00001
ONE TIME VENDOR
REIMB D RICHARDSON-DRIVEWAY APRON
293.48
108124
10/26/2021
00001
ONE TIME VENDOR
REIMB M BRUDZINSKI-SPRINKLER REPAIR
127.97
108125
10/26/2021
00001
ONE TIME VENDOR
REFUND WS & D -PERMIT
117.00
108126
10/26/2021
00001
ONE TIME VENDOR
REFUND COMFORT SOLUTIONS -PERMIT
97.00
108127
10/26/2021
00001
ONE TIME VENDOR
REIMB N BAER - SPRINKLER SYS REPAIR
85.00
108128
10/26/2021
02001
CITY OF ROSEVILLE
PHONE & IT SUPPORT SRVS - OCTOBER
5,750.50
10/26/2021
02001
CITY OF ROSEVILLE
1920 RICE ST LIGHT -SHARED XCEL BILL
65.35
108129
10/26/2021
06273
SRF CONSULTING GROUP INC.
PROF SRVS - COPE AVE TRAFFIC STUDY
3,448.24
108130
10/26/2021
01836
ST PAUL, CITY OF
ANIMAL BOARDING SRVS APRIL -JUNE
2,475.00
10/26/2021
01836
ST PAUL, CITY OF
LAMPING SRVS & LOCATES - AUG & SEPT
1,617.00
10/26/2021
01836
ST PAUL, CITY OF
LAMPING SRVS & LOCATES - APRIL
1,441.00
10/26/2021
01836
ST PAUL, CITY OF
LAMPING SRVS & LOCATES - AUG & SEPT
266.15
10/26/2021
01836
ST PAUL, CITY OF
PDI TRAINING COURSE - SEPT 13
180.00
108131
10/26/2021
05663
TRANS UNION LLC
CREDIT REPORTING SERVICE - SEPT
93.30
108132
10/26/2021
02464
US BANK
PAYING AGENT FEES
450.00
10/26/2021
02464
US BANK
PAYING AGENT FEES
450.00
108133
10/26/2021
02890
VALLEY LETTERING SIGNS & MORE
DIRECTIONAL SIGNS -SHREDDING EVENT
100.00
108134
10/26/2021
06123
VALLEY PAVING, INC.
PROJ 19-22 CO RD B & ARCADE PMT#11
37,142.53
50 Checks in this
report.
1.479.907.37
Packet Page Number 55 of 78
Check
108136
108137
108138
108139
108140
108141
108142
108143
108144
108145
108146
108147
108148
108149
108150
108151
108152
108153
108154
108155
108156
108157
108158
108159
108160
108161
108162
108163
108164
Date
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
11/02/2021
Vendor
05670
01409
01409
04192
01190
01190
01190
01190
01190
01190
01190
06160
00258
02789
03463
03463
00453
00453
06255
06254
06009
02137
05642
01897
00244
00917
00917
04318
06276
01182
00001
02903
06111
04256
04256
04256
04256
06251
01026
05842
05842
01665
06265
Check Register
City of Maplewood
PETERSON COUNSELING/CONSULTING
SEH
SEH
TRANS -MEDIC
XCELENERGY
XCELENERGY
XCELENERGY
XCELENERGY
XCELENERGY
XCELENERGY
XCELENERGY
AWARDS NETWORK
CARDINAL HOMEBUILDERS INC
COMCAST CABLE COMM INC
EBERT CONSTRUCTION
EBERT CONSTRUCTION
EHLERS, INC.
EHLERS, INC.
ELECTRICAL PRODUCTION SERVICES
GENERAL SHEET METAL CO. LLC
HEALTHCALL, LLC
KENNEDY & GRAVEN CHARTERED
KFT FIRE TRAINER, LLC
KRAUS-ANDERSON CONSTRUCTION CO
LINE 1 PARTNERS, INC
MACQUEEN EMERGENCY
MACQUEEN EMERGENCY
MILLER EXCAVATING, INC.
NORTH METRO COMPANIES, LLC
NORTHERN AIR CORP
ONE TIME VENDOR
PARK CONSTRUCTION CO
QUADIENT FINANCE USA, INC.
SHI INTERNATIONAL CORP
SHI INTERNATIONAL CORP
SHI INTERNATIONAL CORP
SHI INTERNATIONAL CORP
THORNBERG STEEL
DEPT OF TRANSPORTATION
MIKE TURNBULL
MIKE TURNBULL
TWIN CITY HARDWARE
WELLS CONCRETE
29 Checks in this report.
Packet Page Number 56 of 78
G1, Attachments
Description
CONSULTING SERVICES - SEPTEMBER
NEW FIRE STATION
ENGINEERING SRVS - TRAFFIC STUDY
EMS BILLING - SEPTEMBER
ELECTRIC UTILITY
ELECTRIC & GAS UTILITY
ELECTRIC UTILITY
GAS UTILITY
ELECTRIC UTILITY
ELECTRIC UTILITY
GAS UTILITY
EMPLOYEE RECOGNITION AWARDS 2021
ESCROW REL 2671 GERANIUM AVE E
FIBER OPTIC LEASE FOR FS#3
NORTH FIRE STATION CONST PROJ
NORTH FIRE STATION CONST PROJ
TIF DISTRICT CREATION 1-15
TIF CONSULTING - LOWER AFTON APTS
NORTH FIRE STATION CONST PROJ
NORTH FIRE STATION CONST PROJ
COMMUNITY PARAMEDIC SOFTWARE -SEP
ATTORNEYFEES- SEPTEMBER
EMTF T500 INSTALL ASSEMBLY
NORTH FIRE STATION CONST PROJ
SECURITY CAMERA INSTALL - NC
FIRE HOSE
AKRON BRASS NOZZLE
CLEAN FILL DISPOSAL
NORTH FIRE STATION CONST PROJ
NORTH FIRE STATION CONST PROJ
REIMB OPUS VTR - DEALER OVER PD
NORTH FIRE STATION CONST PROJ
POSTAGE - CITY HALL POSTAGE MACHINE
VEEAM BACKUP MICROSOFT OFFICE 21-2E
5 CATALYST 9120AX AP'S
CISCO CATALYST 9200 SWITCH
CON-SSSNT-C920024X HARDWARE
NORTH FIRE STATION CONST PROJ
MNDOT SNOW PLOW TRAINING
FIRE MARSHAL SERVICES 07/01 - 07/27
FIRE MARSHAL SERVICES 06/15 - 06/30
NORTH FIRE STATION CONST PROJ
NORTH FIRE STATION CONST PROJ
Amount
1,050.00
3,161.24
2,320.78
8,005.14
14,633.60
1,198.89
301.12
57.06
54.28
47.69
43.35
150.00
3,500.00
413.00
114,665.00
1,320.50
6,250.00
1,215.00
19,950.00
47,500.00
920.00
16,588.70
538.13
30,538.27
225.00
2,110.81
134.73
30.00
30,912.52
23,085.00
365.25
55,670.00
1,500.00
15,275.00
4,422.00
1,336.00
280.00
6,502.27
1,800.00
924.00
744.00
2,472.66
691,663.65
Settlement
Date Payee
10/18/2021
10/18/2021
10/18/2021
10/18/2021
10/19/2021
10/19/2021
10/19/2021
10/20/2021
10/21/2021
10/21/2021
10/22/2021
10/22/2021
10/22/2021
10/25/2021
10/25/2021
10/26/2021
10/27/2021
10/28/2021
10/29/2021
10/29/2021
10/29/2021
10/29/2021
10/29/2021
10/29/2021
10/29/2021
10/29/2021
10/29/2021
10/29/2021
CITY OF MAPLEWOOD
Disbursements via Debits to Checking account
Delta Dental
Empower - State Plan
MN Dept of Natural Resources
MN State Treasurer
MN Dept of Revenue
MN Dept of Revenue
MN State Treasurer
MN State Treasurer
Delta Dental
MN State Treasurer
MN Dept of Natural Resources
MN State Treasurer
Optum Health
Delta Dental
MN State Treasurer
MN State Treasurer
MN State Treasurer
MN State Treasurer
ICMA (Vantagepointe)
ICMA (Vantagepointe)
Labor Unions
MN Dept of Natural Resources
MN State Treasurer
MN State Treasurer
Optum Health
P.E.R.A.
U.S. Treasurer
US Bank VISA One Card*
Description
Dental Premium
Deferred Compensation
DNR electronic licenses
Drivers License/Deputy Registrar
Fuel Tax Return
Sales Tax Return
Drivers License/Deputy Registrar
Drivers License/Deputy Registrar
Dental Premium
Drivers License/Deputy Registrar
DNR electronic licenses
Drivers License/Deputy Registrar
DCRP & Flex plan payments
Dental Premium
Drivers License/Deputy Registrar
Drivers License/Deputy Registrar
Drivers License/Deputy Registrar
Drivers License/Deputy Registrar
Deferred Compensation
Retiree Health Savings
Union Dues
DNR electronic licenses
Drivers License/Deputy Registrar
State Payroll Tax
DCRP & Flex plan payments
P.E.R.A.
Federal Payroll Tax
Purchasing Card Items
*Detailed listing of VISA purchases is attached.
G1, Attachments
Amount
3,520.86
26,261.00
387.90
34,711.66
332.03
629.00
41,647.32
49,760.30
935.00
56,681.46
294.70
30,717.63
1,093.81
3,941.54
66,189.72
61,353.14
50,778.28
82,999.02
9,608.80
20,615.42
1,014.52
1,331.69
24,692.37
26, 846.16
575.46
128,335.93
112,104.19
61,921.21
899,280.12
Packet Page Number 57 of 78
Purchasing Card Items
Transaction Date Posting Date Merchant Name
10/19/2021
10/22/2021
OFFICE DEPOT #1090
10/16/2021
10/19/2021
OTC BRANDS INC
10/18/2021
10/19/2021
PAYPAL *NTOA
10/20/2021
10/21/2021
CUB FOODS 01611
10/15/2021
10/20/2021
OFFICE DEPOT #1090
10/19/2021
10/20/2021
U OF M CONTLEARNING
10/19/2021
10/20/2021
U OF M CONTLEARNING
10/12/2021
10/14/2021
CHICK-FIL-A #03681
10/08/2021
10/11/2021
VIKING ELECTRIC-BLAINE
10/13/2021
10/14/2021
NORTHERN DOOR COMPAN
10/13/2021
10/14/2021
STATE SUPPLY
10/13/2021
10/14/2021
RYAN PLUMBING AND HEATIN
10/13/2021
10/14/2021
RYAN PLUMBING AND HEATIN
10/13/2021
10/14/2021
RYAN PLUMBING AND HEATIN
10/13/2021
10/14/2021
RYAN PLUMBING AND HEATIN
10/19/2021
10/20/2021
NEW YORK MAGAZINE
10/08/2021
10/11/2021
RED LION HOTEL PAPER VALL
10/12/2021
10/12/2021
AMAZON.COM*275YT4D21
10/08/2021
10/11/2021
I NSTACART
10/08/2021
10/11/2021
CUB FOODS #1599
10/08/2021
10/11/2021
HEJNY RENTAL INC
10/13/2021
10/14/2021
FIRE SAFETY EDUCATION
10/19/2021
10/21/2021
OTC BRANDS INC
10/20/2021
10/22/2021
OTC BRANDS INC
10/20/2021
10/22/2021
OTC BRANDS INC
10/07/2021
10/11/2021
THE HOME DEPOT 2801
10/21/2021
10/22/2021
NATIONAL REGISTRY EMT
10/14/2021
10/18/2021
THE HOME DEPOT #2801
10/11/2021
10/12/2021
LANCER SYSTEMS LP WEBSITE
10/11/2021
10/12/2021
TACTICAL ADVANTAGE LLC
10/14/2021
10/18/2021
CITY OF COTTAGE GROVE
10/19/2021
10/20/2021
GALLS
10/14/2021
10/15/2021
PIONEER PRESS ADV
10/08/2021
10/11/2021
VISION33INC
10/09/2021
10/11/2021
PITNEY BOWES PI
10/13/2021
10/14/2021
CAN*CANON FINANCIAL CFS
10/13/2021
10/14/2021
CAN*CANON FINANCIAL CFS
10/13/2021
10/14/2021
CAN*CANON FINANCIAL CFS
10/13/2021
10/14/2021
WEB*NETWORKSOLUTIONS
10/13/2021
10/15/2021
INNOVYZE INC
10/14/2021
10/15/2021
IDU*INSIGHT PUBLIC SEC
10/17/2021
10/18/2021
ZOOM.US 888-799-9666
10/17/2021
10/18/2021
COMCAST CABLE COMM
10/18/2021
10/19/2021
BESTBUYCOM806505773398
10/20/2021
10/21/2021
IDU*INSIGHT PUBLIC SEC
10/18/2021
10/19/2021
MICROSOFT#6005754783
10/21/2021
10/22/2021
MICROSOFT*ANSWER DESK
10/12/2021
10/14/2021
THE HOME DEPOT #2801
10/17/2021
10/18/2021
AMAZON.COM*273VY7K62
10/18/2021
10/20/2021
VIKING INDUSTRIAL CENTER
10/08/2021
10/11/2021
SITEONE LANDSCAPE SUPPLY,
10/11/2021
10/13/2021
THE HOME DEPOT #2801
10/14/2021
10/15/2021
GRUBER'S POWER EQUIPMENT
10/14/2021
10/15/2021
SITEONE LANDSCAPE SUPPLY,
10/19/2021
10/21/2021
THE HOME DEPOT #2801
10/20/2021
10/21/2021
SAFE-FAST(MW)
10/12/2021
10/14/2021
THE HOME DEPOT #2801
10/15/2021
10/18/2021
DALCO ENTERPRISES
Packet Page Number 58 of 78
G1, Attachments
Transaction Amount Name
$269.32
REGAN BEGGS
$344.79
ASHLEY BERGERON
$289.00
ASHLEY BERGERON
$129.19
ASHLEY BERGERON
$91.73
NEIL BRENEMAN
$45.00
BRENT BUCKLEY
$75.00
BRENT BUCKLEY
$201.41
DANIEL BUSACK
$133.25
SCOTT CHRISTENSON
$790.00
SCOTT CHRISTENSON
$220.04
SCOTT CHRISTENSON
$550.00
SCOTT CHRISTENSON
$275.00
SCOTT CHRISTENSON
$825.00
SCOTT CHRISTENSON
$275.00
SCOTT CHRISTENSON
$3.00
MELINDA COLEMAN
$420.44
SHAWN CONWAY
$41.46
THOMAS DABRUZZI
$26.07
BRAD DAVISON
$5.89
BRAD DAVISON
$47.20
BRAD DAVISON
$550.00
BRAD DAVISON
$127.91
BRAD DAVISON
$137.20
BRAD DAVISON
$73.52
BRAD DAVISON
$86.43
RICHARD DAWSON
$152.00
RICHARD DAWSON
$25.28
TOM DOUGLASS
$956.56
MICHAEL DUGAS
$3,782.16
MICHAEL DUGAS
$75.00
MICHAEL DUGAS
$43.35
MICHAEL DUGAS
$687.60
CHRISTINE EVANS
$6,195.00
MYCHAL FOWLDS
$150.00
MYCHAL FOWLDS
$1,270.57
MYCHAL FOWLDS
$486.30
MYCHAL FOWLDS
$316.84
MYCHAL FOWLDS
$5.99
MYCHAL FOWLDS
$952.00
MYCHAL FOWLDS
$3,337.04
MYCHAL FOWLDS
$399.82
MYCHAL FOWLDS
$4.56
MYCHAL FOWLDS
$129.99
MYCHAL FOWLDS
$1,058.15
MYCHAL FOWLDS
$1.45
NICK FRANZEN
($499.00)
NICK FRANZEN
$59.96
CAROLE GERNES
$424.95
ALEX GERONSIN
$194.71
MARK HAAG
$1,139.41
TAMARA HAYS
$57.18
TAMARA HAYS
$53.98
TAMARA HAYS
$288.02
TAMARA HAYS
$64.71
TAMARA HAYS
$140.30
TAMARA HAYS
$37.20
DAVID JAHN
$600.98
DAVID JAHN
G1, Attachments
10/19/2021
10/20/2021
BLINDS.COM #2150
$253.19
DAVID JAHN
10/08/2021
10/11/2021
AMAZON. COM*275DE6CU2 AMZN
$51.81
MEGHAN JANASZAK
10/08/2021
10/13/2021
OFFICE DEPOT #1090
$4.49
MEGHAN JANASZAK
10/08/2021
10/13/2021
OFFICE DEPOT #1079
$48.87
MEGHAN JANASZAK
10/11/2021
10/12/2021
AMZN MKTP US*277J33QW1
$475.46
MEGHAN JANASZAK
10/12/2021
10/12/2021
INT'L CODE COUNCIL INC
$247.00
RANDY JOHNSON
10/07/2021
10/11/2021
CARIBOU COFFEE CO #155
$33.04
LOIS KNUTSON
10/08/2021
10/11/2021
FAMOUS DAVE'S #2002
$314.87
LOIS KNUTSON
10/09/2021
10/11/2021
BARNES & NOBLE #3317
$20.07
LOIS KNUTSON
10/12/2021
10/12/2021
PANERA BREAD #601305 O
$141.44
LOIS KNUTSON
10/12/2021
10/13/2021
NFSA
$50.00
ERIC KUBAT
10/21/2021
10/22/2021
INT'L ASSOC OF FIRE CHIE
$97.50
ERIC KUBAT
10/14/2021
10/15/2021
PEAVEY CORP.
$116.30
JASON KUCHENMEISTER
10/09/2021
10/11/2021
WM SUPERCENTER #1861
$255.66
MICHAEL MONDOR
10/20/2021
10/21/2021
AIRGAS USA, LLC
$195.20
MICHAEL MONDOR
10/20/2021
10/21/2021
AIRGAS USA, LLC
$133.88
MICHAEL MONDOR
10/20/2021
10/21/2021
AIRGAS USA, LLC
$222.36
MICHAEL MONDOR
10/13/2021
10/14/2021
CINTAS CORP
$89.85
BRYAN NAGEL
10/13/2021
10/14/2021
CINTAS CORP
$106.37
BRYAN NAGEL
10/13/2021
10/14/2021
CINTAS CORP
$16.35
BRYAN NAGEL
10/13/2021
10/14/2021
CINTAS CORP
$38.87
BRYAN NAGEL
10/13/2021
10/14/2021
CINTAS CORP
$12.75
BRYAN NAGEL
10/20/2021
10/21/2021
CINTAS CORP
$116.41
BRYAN NAGEL
10/20/2021
10/21/2021
CINTAS CORP
$125.57
BRYAN NAGEL
10/20/2021
10/21/2021
CINTAS CORP
$15.05
BRYAN NAGEL
10/20/2021
10/21/2021
CINTAS CORP
$32.44
BRYAN NAGEL
10/20/2021
10/21/2021
CINTAS CORP
$27.74
BRYAN NAGEL
10/08/2021
10/11/2021
SITEONE LANDSCAPE SUPPLY,
$1,139.41
JOHN NAUGHTON
10/08/2021
10/11/2021
THE HOME DEPOT #2801
$43.54
JOHN NAUGHTON
10/20/2021
10/21/2021
SAFE-FAST(MW)
$35.85
JOHN NAUGHTON
10/20/2021
10/22/2021
MENARDS OAKDALE MN
$54.67
JOHN NAUGHTON
10/20/2021
10/22/2021
NORTHERN TOOL+EQUIP
$49.99
JOHN NAUGHTON
10/11/2021
10/13/2021
BOUND TREE MEDICAL LLC
$16.58
KENNETH POWERS
10/15/2021
10/18/2021
BOUND TREE MEDICAL LLC
$54.99
KENNETH POWERS
10/08/2021
10/11/2021
TRUCK UTILITIES ST
$313.32
STEVEN PRIEM
10/11/2021
10/12/2021
WHEELCO NEWPORT
($30.00)
STEVEN PRIEM
10/12/2021
10/13/2021
WHEELCO NEWPORT
$34.62
STEVEN PRIEM
10/12/2021
10/13/2021
0391-AUTOPLUS
$350.60
STEVEN PRIEM
10/12/2021
10/13/2021
TRI-STATE BOBCAT
$495.20
STEVEN PRIEM
10/13/2021
10/14/2021
NUSS TRUCK & EQUIPMENT
$235.00
STEVEN PRIEM
10/13/2021
10/15/2021
NUSS TRUCK & EQUIPMENT
$466.82
STEVEN PRIEM
10/14/2021
10/15/2021
WHEELCO NEWPORT
$44.24
STEVEN PRIEM
10/14/2021
10/15/2021
H & L MESABI COMPANY
$595.00
STEVEN PRIEM
10/14/2021
10/15/2021
ZAHL-PETROLEUM MAINTEN
$121.50
STEVEN PRIEM
10/15/2021
10/18/2021
CARPENTERS SMALL ENG
$50.42
STEVEN PRIEM
10/15/2021
10/18/2021
POMP S TIRE #021
$1,802.64
STEVEN PRIEM
10/15/2021
10/18/2021
NUSS TRUCK & EQUIPMENT
$16.98
STEVEN PRIEM
10/18/2021
10/19/2021
KATH FUEL
$324.14
STEVEN PRIEM
10/18/2021
10/19/2021
FACTORY MTR PTS #19
$52.70
STEVEN PRIEM
10/18/2021
10/19/2021
0391-AUTOPLUS
$42.14
STEVEN PRIEM
10/20/2021
10/21/2021
AN FORD WHITE BEAR LAK
$372.77
STEVEN PRIEM
10/20/2021
10/22/2021
AN FORD WHITE BEAR LAK
$125.36
STEVEN PRIEM
10/21/2021
10/22/2021
0391-AUTOPLUS
$7.88
STEVEN PRIEM
10/14/2021
10/15/2021
PIONEER PRESS ADV
$1,610.00
TERRIE RAMEAUX
10/12/2021
10/13/2021
AMAZON. COM*2786R1PO2
$74.97
MICHAEL RENNER
10/13/2021
10/14/2021
AMZN MKTP US*272Y07K50
$209.97
MICHAEL RENNER
10/13/2021
10/14/2021
AMZN MKTP US*270TT9KO0
$596.83
MICHAEL RENNER
10/08/2021
10/11/2021
ON SITE SANITATION INC
$22.00
AUDRA ROBBINS
10/12/2021
10/13/2021
DALCO ENTERPRISES
$232.13
AUDRA ROBBINS
10/20/2021
10/21/2021
CINTAS CORP
$72.86
AUDRA ROBBINS
Packet Page Number 59 of 78
G1, Attachments
10/21/2021
10/22/2021
WALMART.COM AA
$32.16
AUDRA ROBBINS
10/11/2021
10/12/2021
FASTENAL COMPANY 01MNT11
$8.56
ROBERT RUNNING
10/12/2021
10/14/2021
THE HOME DEPOT #2801
$11.73
ROBERT RUNNING
10/12/2021
10/14/2021
THE HOME DEPOT #2801
$23.46
ROBERT RUNNING
10/13/2021
10/15/2021
THE HOME DEPOT #2801
$24.40
ROBERT RUNNING
10/11/2021
10/12/2021
LANGUAGE LINE
$165.15
STEPHANIE SHEA
10/14/2021
10/15/2021
STREICHER'S MO
$19.99
STEPHANIE SHEA
10/14/2021
10/15/2021
STREICHER'S MO
$1,425.00
STEPHANIE SHEA
10/14/2021
10/15/2021
STREICHER'S MO
$1,344.00
STEPHANIE SHEA
10/14/2021
10/15/2021
TARGETSOLUTIONS
$5,833.16
STEPHANIE SHEA
10/14/2021
10/15/2021
CINTAS CORP
$49.99
STEPHANIE SHEA
10/17/2021
10/18/2021
AMAZON.COM*2Y0525J21
$113.24
STEPHANIE SHEA
10/19/2021
10/20/2021
GALLS
$9,537.16
STEPHANIE SHEA
10/21/2021
10/22/2021
CINTAS CORP
$49.99
STEPHANIE SHEA
10/14/2021
10/15/2021
PIONEER PRESS CIRC
$12.00
JOE SHEERAN
10/08/2021
10/11/2021
ROGUE
$674.65
MICHAEL SHORTREED
10/12/2021
10/14/2021
BRODIN STUDIOS
$300.00
MICHAEL SHORTREED
10/21/2021
10/22/2021
SCSU DRIVING RANGE
$455.00
MICHAEL SHORTREED
10/19/2021
10/20/2021
BANANAREPUBLIC US 3168
$329.00
JOSEPH STEINER
10/21/2021
10/22/2021
PIONEER PRESS CIRC
$10.00
JEFF THOMSON
$61,921.21
Packet Page Number 60 of 78
G1, Attachments
CITY OF MAPLEWOOD
EMPLOYEE GROSS EARNINGS REPORT
FOR THE CURRENT PAY PERIOD
Exp Reimb,
Severance,
Conversion
CHECK # CHECK DATE EMPLOYEE NAME AMOUNT incl in Amount
10/29/21
ABRAMS, MARYLEE
560.80
10/29/21
CAVE, REBECCA
493.60
10/29/21
JUENEMANN, KATHLEEN
493.60
10/29/21
KNUTSON, WILLIAM
493.60
10/29/21
VILLAVICENCIO, NICHOLE
493.60
10/29/21
COLEMAN, MELINDA
6,835.20
10/29/21
KNUTSON, LOIS
3,403.95
10/29/21
CHRISTENSON, SCOTT
2,428.96
10/29/21
DOUGLASS, TOM
2,813.06
10/29/21
JAHN, DAVID
2,322.08
10/29/21
HERZOG, LINDSAY
2,875.32
10/29/21
RAMEAUX, THERESE
3,739.31
10/29/21
DEBILZAN, JUDY
2,590.49
10/29/21
PAULSETH, ELLEN
5,685.05
10/29/21
RACETTE, THOMAS
2,601.07
10/29/21
RUEB, JOSEPH
4,568.61
10/29/21
STANLEY, JENNIFER
3,507.40
10/29/21
ARNOLD, AJLA
2,265.58
10/29/21
BEGGS, REGAN
2,314.59
10/29/21
CROSS, JULIA
1,856.00
10/29/21
EVANS, CHRISTINE
2,439.21
10/29/21
LARSON, MICHELLE
2,316.89
10/29/21
SINDT, ANDREA
3,913.59
10/29/21
ABRAHAM, JOSHUA
2,685.79
10/29/21
HANSON, MELISSA
2,107.20
10/29/21
HOCKBEIN, JUDY
1,170.24
10/29/21
KRAMER, PATRICIA
1,310.73
10/29/21
MOY, PAMELA
1,857.21
10/29/21
OLSON, THOMAS
1,856.00
10/29/21
OSTER, ANDREA
2,323.82
10/29/21
SCHORR, JENNIFER
1,061.28
10/29/21
VITT, JULIANNE
1,410.72
10/29/21
WEAVER, KRISTINE
3,499.77
10/29/21
ALDRIDGE, MARK
3,703.63
10/29/21
BAKKE, LONN
3,890.64
10/29/21
BARTZ, PAUL
25.00
10/29/21
BELDE, STANLEY
4,456.56
10/29/21
BENJAMIN, MARKESE
3,587.80
10/29/21
BERGERON, ASHLEY
3,413.86
10/29/21
BIERDEMAN, BRIAN
5,720.88
10/29/21
BROWN, RAE
2,614.72
10/29/21
BURT-MCGREGOR, EMILY
3,584.86
10/29/21
BUSACK, DANIEL
6,504.07
10/29/21
COLEMAN, ALEXANDRA
2,162.59
10/29/21
CONDON, MITCHELL
3,571.60
10/29/21
CRUZ, TREANA
2,320.19
10/29/21
DEMULLING, JOSEPH
4,729.80
10/29/21
DUGAS, MICHAEL
4,765.19
10/29/21
FORSYTHE, MARCUS
3,613.24
10/29/21
FRITZE, DEREK
4,680.12
10/29/21
GABRIEL, ANTHONY
3,990.87
10/29/21
GEISELHART, BENJAMIN
2,890.70
10/29/21
HAWKINSON JR, TIMOTHY
4,557.52
10/29/21
HELLE, KERRY
25,329.42
10/29/21
HENDRICKS, JENNIFER
2,267.37
10/29/21
HER, PHENG
4,516.72
10/29/21
HER, TERRELL
2,464.33
10/29/21
HOADLEY, JOSHUA
348.00
10/29/21
HOEMKE, MICHAEL
4,556.53
1,092.12
23, 807.66
Packet Page Number 61 of 78
10/29/21
KANDA, MADELINE
2,670.11
10/29/21
KIM, WINSTON
2,768.15
10/29/21
KONG, TOMMY
3,686.38
10/29/21
KROLL, BRETT
3,771.71
10/29/21
KUCHENMEISTER, JASON
1,986.40
10/29/21
LENERTZ, NICHOLAS
3,444.25
10/29/21
LYNCH, KATHERINE
3,645.68
10/29/21
MARINO, JASON
3,882.48
10/29/21
MATTHEIS, TAWNY
2,287.87
10/29/21
MCCARTY, GLEN
3,849.62
10/29/21
METRY, ALESIA
168.75
10/29/21
MURRAY, RACHEL
3,977.32
10/29/21
NYE, MICHAEL
4,702.73
10/29/21
OLSON, JULIE
4,080.06
10/29/21
PARKER, JAMES
4,019.60
10/29/21
PASDO, JOSEPH
261.00
10/29/21
PEREZ, GUSTAVO
3,190.00
10/29/21
PETERS, DANIEL
3,323.78
10/29/21
SALCHOW, CONNOR
3,838.25
10/29/21
SANCHEZ, ISABEL
2,287.87
10/29/21
SHEA, STEPHANIE
2,612.64
10/29/21
SHORTREED, MICHAEL
5,130.29
10/29/21
SPARKS, NICOLLE
3,829.34
10/29/21
STARKEY, ROBERT
4,107.33
10/29/21
STEINER, JOSEPH
4,765.19
10/29/21
STOCK, AUBREY
3,090.84
10/29/21
SWETALA, NOAH
3,452.16
10/29/21
TAUZELL, BRIAN
3,783.90
10/29/21
THIENES, PAUL
20,833.43
10/29/21
WENZEL, JAY
3,835.29
10/29/21
WIETHORN, AMANDA
3,245.52
10/29/21
XIONG, KAO
3,653.52
10/29/21
XIONG, TUOYER
3,480.11
10/29/21
ZAPPA, ANDREW
1,538.05
10/29/21
AMAH-CLARKE, ALFREDA
2,012.00
10/29/21
BARRETTE, CHARLES
4,828.82
10/29/21
BAUMAN, ANDREW
3,308.29
10/29/21
BEITLER, NATHAN
3,123.50
10/29/21
CAMPBELL, MACLANE
2,657.48
10/29/21
CONWAY, SHAWN
4,471.96
10/29/21
CRAWFORD JR, RAYMOND
3,677.83
10/29/21
CRUMMY, CHARLES
3,362.54
10/29/21
DABRUZZI, THOMAS
4,375.74
10/29/21
DANLEY, NICHOLAS
3,619.34
10/29/21
DAVISON, BRADLEY
3,771.74
10/29/21
DAWSON, RICHARD
4,592.18
10/29/21
HAGEN, MICHAEL
3,940.22
10/29/21
HALWEG, JODI
4,732.77
10/29/21
HAWTHORNE, ROCHELLE
3,328.63
10/29/21
KUBAT, ERIC
4,290.30
10/29/21
LANDER, CHARLES
3,409.48
10/29/21
LANIK, JAKE
2,915.85
10/29/21
LO, CHING
885.00
10/29/21
LUKIN, STEVEN
1,903.50
10/29/21
MALESKI, MICHAEL
3,439.22
10/29/21
MCGEE, BRADLEY
3,765.66
10/29/21
MERKATORIS, BRETT
3,796.58
10/29/21
MONDOR, MICHAEL
5,447.47
10/29/21
NEILY, STEVEN
3,163.34
10/29/21
NIELSEN, KENNETH
3,581.66
10/29/21
NOVAK, JEROME
4,079.21
10/29/21
POWERS, KENNETH
4,033.13
10/29/21
SEDLACEK, JEFFREY
3,510.45
10/29/21
STREFF, MICHAEL
4,219.41
10/29/21
WARDELL, JORDAN
3,538.51
10/29/21
WILLIAMSON, MICHAEL
3,737.37
10/29/21
ZAPPA, ERIC
3,280.46
Packet Page Number 62 of 78
G1, Attachments
18,163.48
140.00
G1, Attachments
10/29/21
CORTESI, LUANNE
2,316.89
10/29/21
JANASZAK, MEGHAN
3,175.14
10/29/21
BRINK, TROY
3,196.10
10/29/21
BUCKLEY, BRENT
2,766.54
10/29/21
EDGE, DOUGLAS
2,641.43
10/29/21
JONES, DONALD
2,687.11
10/29/21
MEISSNER, BRENT
2,658.49
10/29/21
MLODZIK, JASON
2,228.59
10/29/21
NAGEL, BRYAN
4,604.30
10/29/21
OSWALD, ERICK
2,625.42
10/29/21
RUNNING, ROBERT
3,068.06
10/29/21
TEVLIN, TODD
2,673.11
10/29/21
ZAHNOW, LANCE
2,178.59
10/29/21
BURLINGAME, NATHAN
3,278.40
10/29/21
DUCHARME, JOHN
3,343.02
10/29/21
ENGSTROM, ANDREW
3,338.40
10/29/21
JAROSCH, JONATHAN
4,508.31
10/29/21
LINDBLOM, RANDAL
3,343.02
10/29/21
LOVE, STEVEN
5,891.23
10/29/21
STRONG, TYLER
3,181.61
10/29/21
ZIEMAN, SCOTT
80.00
10/29/21
GERNES, CAROLE
2,767.41
10/29/21
FRIBERG, DAVID
2,059.39
10/29/21
HAYS, TAMARA
2,616.19
10/29/21
HINNENKAMP, GARY
2,880.62
10/29/21
NAUGHTON, JOHN
2,624.19
10/29/21
ORE, JORDAN
2,616.19
10/29/21
STOKES, KAL
2,103.21
10/29/21
HAMMOND, ELIZABETH
2,467.43
10/29/21
JOHNSON, ELIZABETH
2,409.79
10/29/21
JOHNSON, RANDY
4,462.88
10/29/21
KROLL, LISA
2,542.81
10/29/21
KUCHENMEISTER, GINA
2,306.80
10/29/21
THOMSON, JEFFREY
4,918.00
10/29/21
FINWALL, SHANN
4,274.89
10/29/21
MARTIN, MICHAEL
4,194.43
10/29/21
DREWRY, SAMANTHA
2,970.59
10/29/21
LENTZ, DANIEL
3,047.33
10/29/21
WESTLUND, RONALD
2,966.88
10/29/21
WELLENS, MOLLY
3,384.60
10/29/21
BJORK, BRANDON
90.00
10/29/21
BRENEMAN, NEIL
3,272.61
10/29/21
CAMPBELL, KEVIN
105.00
10/29/21
GORACKI, GERALD
96.00
10/29/21
HUGGAR, ANGELA
51.00
10/29/21
LO, SATHAE
256.50
10/29/21
ROBBINS, AUDRA
4,590.08
10/29/21
BERGO, CHAD
3,759.91
10/29/21
SCHMITZ, KEVIN
2,356.99
10/29/21
SHEERAN JR, JOSEPH
4,247.29
10/29/21
ADAMS, DAVID
2,569.45
10/29/21
HAAG, MARK
2,878.31
10/29/21
JENSEN, JOSEPH
2,565.00
10/29/21
SCHULTZ, SCOTT
4,574.39
10/29/21
WILBER, JEFFREY
2,565.00
10/29/21
COUNTRYMAN, BRENDA
352.00
10/29/21
PRIEM, STEVEN
2,950.24
10/29/21
WOEHRLE, MATTHEW
2,723.90
10/29/21
XIONG, BOON
2,588.03
10/29/21
FOWLDS, MYCHAL
4,953.52
10/29/21
FRANZEN, NICHOLAS
4,939.84
10/29/21
GERONSIN, ALEXANDER
3,241.40
10/29/21
RENNER, MICHAEL
2,808.40
622,492.04 43,203.26
Packet Page Number 63 of 78
G2
CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2021
REPORT TO: Melinda Coleman, City Manager
REPORT FROM: Ellen Paulseth, Finance Director
PRESENTER: Ellen Paulseth, Finance Director
AGENDA ITEM: Certification of Delinquent Trash and Miscellaneous Accounts Receivable
Action Requested: ✓ Motion ❑ Discussion ❑ Public Hearing
Form of Action: ✓ Resolution ❑ Ordinance ❑ Contract/Agreement ❑ Proclamation
Policy Issue:
Annually, the City certifies certain delinquent accounts to Ramsey County for the purpose of levying
special assessments on property tax statements for collection by the County. The delinquent
accounts include trash bills and other miscellaneous charges. Property owners are notified of the
pending certification to their property taxes, at an established rate of interest, if payment is not
made within the legal timeframe.
Recommended Action:
Motion to approve the attached resolution certifying delinquent accounts receivable to the County
Auditor.
Fiscal Impact:
Is There a Fiscal Impact? ✓ No ❑ Yes, the true or estimated cost is N/A
Financing source(s): ❑ Adopted Budget ❑ Budget Modification ❑ New Revenue Source
❑ Use of Reserves ❑ Other: N/A
Strategic Plan Relevance:
Financial Sustainability ❑ Integrated Communication ❑ Targeted Redevelopment
Operational Effectiveness ❑ Community Inclusiveness ❑ Infrastructure & Asset Mgmt.
The City makes every effort allowed under Minnesota Statutes to collect delinquent accounts.
Background
Minnesota Statutes authorizes the certification of accounts for collection by the County with the
owners' property taxes. Miscellaneous charges generally include lawn mowing, snow removal,
abatement of public nuisances, and other services provided by the City - typically on an involuntary
basis. Trash accounts are billed by the hauler; however, delinquent trash accounts are certified by
the City for collection on the property taxes. The collections are then forwarded to the hauler, with
the exception of a service fee that the City charges for facilitating the collection.
The lists of delinquent accounts are attached to this staff report.
Packet Page Number 64 of 78
G2
Attachments
1. Resolution Certifying Delinquent Accounts Receivable to the County Auditor
2. List of Delinquent Miscellaneous Accounts $2,932.85
3. List of Delinquent Trash Bills $62,555.65
4. List of Sewer Service Line Assessments $7,237.27
Packet Page Number 65 of 78
G2, Attachment 1
RESOLUTION No.
Resolution Certifying Delinquent Accounts Receivable to the County Auditor
RESOLVED, that the City Clerk is hereby authorized and directed to certify to the Auditor of
Ramsey County the following delinquent accounts, totaling $72,725.77 for collection with
the customers property taxes payable in 2022 and subsequent years, as specified,
including interest at the appropriate rate on the total amount.
Delinquent trash collection bills $62,555.65
Delinquent miscellaneous bills $2,932.85
Sewer service line assessments $7,237.27
Packet Page Number 66 of 78
G2, Attachment 2
Packet Page Number 67 of 78
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Packet Page Number 78y78
G3
CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2021
REPORT TO: Melinda Coleman, City Manager
REPORT FROM: Andrea Sindt, City Clerk
Regan Beggs, Business License Specialist
PRESENTER: Andrea Sindt, City Clerk
AGENDA ITEM: On -Sale Wine License for Omega Sushi LLC, 3001 White Bear Avenue,
Ste 27
Action Requested: ✓ Motion ❑ Discussion ❑ Public Hearing
Form of Action: ❑ Resolution ❑ Ordinance ❑ Contract/Agreement ❑ Proclamation
Policy Issue:
In accordance with City Code Chapter 6 (Alcoholic Beverages), an application for an On -Sale Wine
license was submitted by Cynthia Thwe, owner of Omega Sushi LLC at 3001 White Bear Avenue,
Ste 27.
Recommended Action:
Motion to approve the On -Sale Wine license for Omega Sushi LLC at 3001 White Bear Avenue, Ste
27.
Fiscal Impact:
Is There a Fiscal Impact? ✓ No ❑ Yes, the true or estimated cost is $0.00
Financing source(s): ❑ Adopted Budget ❑ Budget Modification ❑ New Revenue Source
❑ Use of Reserves ✓ Other: N/A
Strategic Plan Relevance:
❑ Financial Sustainability ❑ Integrated Communication ❑ Targeted Redevelopment
✓ Operational Effectiveness ❑ Community Inclusiveness ❑ Infrastructure & Asset Mgmt.
Council approval is required prior to issuance of an On -Sale Wine license, per City Code Sec. 6-
119.
Background
For the purposes of the license application, a background investigation was conducted Ms. Thwe
and Nyan San, who will serve as manager of Omega Sushi LLC; nothing was found that would
prohibit the issuance of this license.
Packet Page Number 74 of 78
G3
The individuals will be meeting with a representative of the police department to discuss measures
to eliminate the sale of alcohol to underage persons, general security, retail crime issues and the
city ordinances pertaining to the service of alcohol.
In addition to Council approval, issuance of the license is contingent upon completion of all building,
fire, and health inspections.
Attachments
None.
Packet Page Number 75 of 78
CITY COUNCIL STAFF REPORT
Meeting Date November 8, 2022
REPORT TO: Melinda Coleman, City Manager
REPORT FROM: Terrie Rameaux, HR Coordinator
PRESENTER: Melinda Coleman, City Manager
AGENDA ITEM: Resolution Accepting the Labor -Management Committee's
Recommendation for 2022 Employee Insurance Benefits
Action Requested: V Motion ❑ Discussion ❑ Public Hearing
Form of Action: ✓ Resolution ❑ Ordinance ❑ Contract/Agreement
Policy Issue:
G4
❑ Proclamation
The Labor -Management Committee met, reviewed and discussed the renewal information from all
providers. Consensus from the Labor -Management Committee is to recommend approval of all
employee benefits and renewals for 2022.
Recommended Action:
Motion to approve the resolution affirming recommendations from the Labor -Management
Committee for all 2022 employee insurance benefits.
Fiscal Impact:
Is There a Fiscal Impact? ❑ No ✓ Yes, the true or estimated cost is $149,167
Financing source(s): ✓ Adopted Budget ❑ Budget Modification ❑ New Revenue Source
❑ Use of Reserves ❑ Other: There will be an increase in health
insurance premiums for 2022 of approximately $149,167. This increase is reflected in the 2022
budget. No other increase in any other city -paid benefits.
Strategic Plan Relevance:
Financial Sustainability ❑ Integrated Communication ❑ Targeted Redevelopment
Operational Effectiveness ❑ Community Inclusiveness ❑ Infrastructure & Asset Mgmt.
Keeping benefit costs affordable allows the City to effectively recruit and retain qualified employees
in a financially sustainable manner,
Background
Health Insurance:
The City had a 2 -year rate cap of 15% each year for 2021 and 2022. The renewal initially came in
at 15% --the rate cap. However, NFP, our benefits consultant, was able to negotiate down to a 10%
increase. The Labor -Management Committee recommends the City continue with Medica as our
health insurance provider for 2022.
Packet Page Number 76 of 78
G4
Dental Insurance:
The City changed to a self-funded plan through Delta Dental back in 2015. Based on the
recommendation from NFP who reviewed our current claims experience as well as projected claims
through the remainder of 2021, along with the premiums being collected, the Labor -Management
Committee as well as the Finance Department recommend that the City maintain the same
premiums going into 2022.
Medical Flex Spending (FSA) and Dependent Care Reimbursement Program (DCRP):
OPTUM is the provider that administers the City's medical flex spending and dependent care. No
change to this carrier. However, the Labor -Management Committee recommends increasing the
employee contribution from the current $2,700 annually to the IRS max contribution of $2,750
annually.
Ancillary Benefits—
Integrity Employee Benefits (IEB) is our consultant for ancillary benefits—life insurance, short-
term and long-term disability, and voluntary vision care.
Lincoln Financial is the carrier for the City's life insurance, short-term and long-term disability
insurance. The premiums remain unchanged for these coverages.
Avesis provides voluntary vision insurance to employees for glasses and contacts. There is a
2.5% rate increase for 2022.
Colonial Life provides voluntary coverage for group accident, cancer/critical illness and hospital
confinement indemnity insurance. The premiums remain unchanged for these plans for 2022.
LegalShield provides voluntary legal and ID theft plans for an employee and their family
members. The premiums remain unchanged for these plans for 2022.
The Labor -Management Committee recommends continuing with the designated providers for
these ancillary benefits for 2022.
Attachments
1. Resolution Affirming Recommendations of the Labor -Management Committee
Packet Page Number 77 of 78
G4, Attachment 1
RESOLUTION
WHEREAS, The Labor -Management Committee met, reviewed and discussed the renewal
information from all providers; and
WHEREAS, Consensus from the Labor -Management Committee is to recommend approval of all
employee benefits and renewals for 2022; and
WHEREAS, funding for the plan renewals is reflected in the Maplewood 2022 Proposed Budget.
THEREFORE, BE IT RESOLVED that the Maplewood City Council hereby affirms the
recommendations of the Labor -Management Committee regarding 2022 employee insurance
benefits for the City of Maplewood.
Approved this 8th day of November 2021.
Packet Page Number 78 of 78