HomeMy WebLinkAbout_07 18 2022 City Council Agenda Packet4646 Dakota Street
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City Council Meeting at City Hall
Monday, July 18, 2022
City Council Work Session Agenda
5:00 p.m.
1.DISCUSSION ITEM(S)
A.2023-2027 CIP Presentation (60 Mins)
B.Emerging Issues (EV Charging Station, THC Moratorium) (45 Mins)
City Council Meeting Agenda
7:00 p.m.
Reports included with this agenda can be found in the Document Center by clicking here or
at www.cityofpriorlake.com \Doc Center\City of Prior Lake\City Council, Planning Commission and Advisory
Committees\City Council\City Council Agenda Packets\2022\07 18 2022
1.CALL TO ORDER and PLEDGE OF ALLEGIANCE
2.PUBLIC FORUM The public forum is intended to afford the public an opportunity to address concerns to the City
Council. The public forum will be no longer than 30 minutes in length and each presenter will have no more than five (5)
minutes to speak. Topics of discussion are restricted to City governmental topics rather than private or political agendas.
Topics may be addressed at the public forum that are on the agenda. However, topics that are the subject of a public hearing
are best addressed at the public hearing, not at public forum. Therefore, topics may not be addressed at public forum if: (I) the
topic has been the subject of a public hearing before the City Council or any City Advisory Committee and the Council has not
acted on the topic; or (ii) if the topic is the subject of a public hearing for which notice has been published in the City's official
newspaper, or a continued public hearing or public information hearing before the City Council or any City Advisory Committee.
During public forum, a member of the public may request that the City Council consider removing an item from the Consent
Agenda following the procedure set forth in Section 401.5. The City Council may discuss but will not take formal action on
public forum presentations. Matters that are the subject of pending litigation are not appropriate for the forum.
3.APPROVAL OF AGENDA
4.MINUTES
A.Approval of the June 20, 2022 City Council Minutes
5.CONSENT AGENDA Those items on the Council Agenda which are considered routine or non-controversial are
included as part of the Consent Agenda. Unless the Mayor or a council member specifically requests that an item on the
Consent Agenda be removed and considered separately, items on the Consent Agenda are considered under one motion,
second and vote. Any item removed from the consent agenda shall be placed on the council agenda under Items Removed
Consent Agenda Items.
A.Approval of Claims Listing
B.Approval of June Building Permit Summary Report
C.Approval of June Animal Control Services Report
D.Resolution Accepting 2nd Quarterly Donations and Grants
E.Approval of Purchase of a Field Striper
F.Resolution Accepting VEGA-3 Grant Distribution
6.PRESENTATIONS
A.Presentation of Badges to Two New Fire Fighters
7.PUBLIC HEARINGS
8.OLD BUSINESS
9.NEW BUSINESS
10.REMOVED CONSENT AGENDA ITEMS
11.COUNCILMEMBER LIAISON UPDATES / COUNCILMEMBER REPORTS
12.OTHER BUSINESS
13.ADJOURNMENT
City of Prior Lake | 4646 Dakota Street SE | Prior Lake MN 55372
CITY COUNCIL AGENDA REPORT ITEM: 1A
MEETING DATE: July 18, 2022
PREPARED BY: Jason Etter, Nicole Klekner and Cathy Erickson
PRESENTED BY: Cathy Erickson
AGENDA ITEM: Draft 2023-2027 Capital Improvement Program
GOAL AREA
OBJECTIVE:
High-Value City Services
2. Design a comprehensive funding strategy for capital needs.
RECOMMENDED ACTION:
The Council is asked to provide comments on the draft Capital Improvement Program (CIP) so
the CIP process can proceed on schedule. The CIP plans are as follows:
Equipment Replacement Plan
Park Plan
Facilities Management Plan
Pavement Management Plan (transportation and street overlay projects)
Technology Plan
Water Financial Plan
Sanitary Sewer Financial Plan
Water Quality Financial Plan
This work session will also include the financial analysis of the CIP plans. The draft summary
documents have been included for City Council review. The supporting documentation for each
plan is available if needed.
BACKGROUND:
The CIP has become our most important and impactful financial planning tool for the following
reasons:
It sets forth the actions the City intends to take (alone or with others) to restore, build
or replace city infrastructure
It is a multi-year document which divides the financial planning focus over nine key
infrastructure systems
Staff strives to be consistent in the update of each of the plans by using the following
methodologies:
Replacement year for existing assets is based on the expected useful life of the asset
Replacement value is based on a current estimated replacement cost inflated
appropriately to the scheduled replacement year
Replacement is evaluated each year based on the condition, safety and maintenance
needs of the asset, and the CIP is adjusted accordingly
Item 1A
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FULL-TIME FIRE STAFFING MODEL – CIP IMPACTS:
As discussed at the June 6 financial planning Council work session, the city has applied for the
federal SAFER grant that would fund 100% of the new full-time fire personnel wages and benefits
for three years (2023-2025). The firefighter grant funding will only be available for three years, so
staff is proposing to incrementally increase the tax levy to prepare for the city fully funding the
firefighters in 2026. This would be done through an annual transfer out of the General Fund. Since
this funding is in preparation of our 2026 needs, it will be used for capital project funding until
needed in 2026 for personnel funding. By doing this, the city will pay for capital purchases on a
pay go basis, instead of issuing debt. This will help us minimize future bond issues. The phased
tax levy increase and the capital project cost it will fund is shown in the table below:
EQUIPMENT REPLACEMENT PLAN (ERP)
An evaluation of the condition of the City’s fleet is completed annually and the ERP is updated.
A Cartegraph Vehicle Replacement Rating (VRR) is used as a tool in completing equipment
evaluations in an objective and systematic way using data collected through the fleet
management system. The ERP also includes an inventory and replacement schedule for
equipment attachments and the emergency sirens to ensure appropriate funding is identified for
these items as well. The cost for these items is updated annually based on recent purchases and
other industry changes. See Attachments 1 and 2 for more details.
Public Works – Proposed new additions to the fleet:
Two 6-foot mowers (2023 and 2024) – These mowers are proposed additions to the
fleet to supplement the four current mowers in service. The 6-foot mowers are used
for city facilities, boulevards (both city and county), and non-athletic parks. The
proposed additions of these mowers are in anticipation of continued expansion of the
city park system and will also support a return to previous service levels. These
additions will also provide redundancy for down-time with any of the existing lawn
mowers. The 2023 mower is proposed to be a Toolcat mower that can be used year-
round for plowing sidewalks as well as mowing. It’s a more versatile and faster
machine than a traditional mower.
1-ton pickup w/plow (2024) – This is a proposed addition to the fleet that will be utilized
for asphalt maintenance, utility work, snow plowing and general staff transportation.
Currently staff utilizes a variety of former squad cars and UTVs for some
transportation.
1.5-ton pickup w/dump box (2025) – This is a proposed addition to the fleet that will
be utilized for parks maintenance, landscaping, field maintenance, and transportation
2023 2024 2025 2026
Year 1 Transfer Out Expenditure for Street Project - Marsh Drive NE Ext.400,000
Year 2 Transfer Out Expenditure for Facilities Capital Maintenance 500,000
Year 3 Transfer Out Expenditure for Equipment - Fire Ladder Truck - 300,000 1,200,000
Year 4 Firefighter personnel costs 1,600,000
Total Expenditures 400,000 800,000 1,200,000 1,600,000
Phased Tax Levy Increase to fund firefighters by 2026 400,000 400,000 400,000 400,000
Item 1A
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of staff. Currently staff utilizes a variety of former squad cars, UTVs and lawnmowers
for transportation.
Fire – FD CIP includes three broad categories:
Fire Apparatus: This group includes the heavy rescue, pumper, and ladder trucks. Equipment of
this nature has an estimated 20-year useful life. Historically, this type of equipment has been
kept 25-28 years, which has resulted in significant repair costs and ongoing safety evaluation as
the equipment exceeds its useful life.
Fire First Response: This includes the fire department pickups, SUVs and grass rigs which are
on a replacement schedule based on the useful life of the asset. The replacement is evaluated
each year based on the condition, safety, and maintenance needs of the vehicles.
Fire – Other Equipment: This includes all other capital items necessary to provide fire response
and protection services. It includes items such as staff radios, utility vehicles, generators, etc.
The Fire department is currently replacing their radios over the course of four years (2020 - 2023).
The radios were originally purchased in 2004 and are no longer supported by Motorola.
Police – PD CIP includes three broad categories:
Police Fleet: This includes the Police department vehicles which are on a replacement schedule
based on the useful life of the asset. The replacement is evaluated each year depending on the
condition, safety, and maintenance needs of the vehicles.
Emergency Sirens: The Prior Lake Police Department is the Emergency Manager (EM) for the
city. As part of the EM duties, staff manages the replacement and maintenance of the emergency
warning sirens. In 2023, three of the city’s twelve sirens are due to be replaced.
Police - Other Equipment: This includes all other capital items necessary to provide Police
services, such as radios and generators.
Funding Sources:
Based on the planned use of funds for equipment replacement, the annual tax levy needs to
increase to meet our needs. Council has directed staff to smooth the levy increase where
possible, so an annual increase of approx. $50,000 has been built into the plan.
Our goal is to maintain the levy at a level that provides adequate cash flow to cover the next year’s
expenditures, to absorb any unplanned equipment failure, or to fund an unanticipated equipment
need. Our average annual equipment funding need is $1.47 million per year over the next 10
years. We strive to only bond for Fire apparatus replacements and fund all other equipment
purchases on a pay go basis. Our annual equipment pay go funding need is approximately
1,500,000 per year. The proposed funding level for 2023 is $975,000. This includes a tax levy
of $750,000 plus transfers in from the utility funds of $217,500. We will continue to incrementally
increase the property tax levy to get to our annual funding goal.
As discussed above, the Equipment CIP includes transfers in from the General fund of $1,500,000
to pay for the Fire ladder truck on a pay go basis instead of debt issuance.
The major equipment purchases greater than $100,000 and all new additions are summarized
below.
Item 1A
Page | 4
2023
Public Works Sidewalk Machine $165,000
Public Works 6-foot Toolcat Mower (NEW add) $90,000
Fire Rescue Unit $200,000
Police Marked Squad (NEW add) $45,500
2024
Public Works 16-foot Mower $155,000
Public Works Tractor $135,000
Public Works 1-ton Pick-up w/Plow (NEW add) $54,000
Public Works 6-foot Mower (NEW add) $45,000
2025
Public Works Mechanical Sweeper $250,000
Public Works Loader Backhoe $177,000
Public Works 1.5-ton dump (NEW add) $125,000
Police Marked Squad (NEW add) $48,000
Police Bearcat $375,000
Fire Ladder Truck $1,500,000
2026
Public Works Wheel Loader $275,000
2027
Public Works 1.5-ton dump $103,000
Public Works 5-ton single axle dump $247,000
Public Works 16-foot mower $155,000
Police Marked squad (NEW add) $50,000
See Attachments 1 and 2 for more details.
PARK PLAN
New park capital improvements are budgeted in the Capital Park Fund (Fund 225). Existing park
capital improvements are budgeted in the Revolving Park Equipment Fund (Fund 430).
The purpose of the draft Park Master Plan is to look at current parks and proposed
changes/updates as well as the City’s future needs and location of new parks. Based on the
current draft Park Master Plan, staff has developed a proposed 10-year plan for improvements in
existing neighborhood parks which includes both maintenance activities and proposed
replacement/redevelopment.
Funding Shortfall:
The estimated annual funding shortfall in the 10-year Park Plan for neighborhood park
renovations, major equipment replacement, and trail maintenance is $450,000 to $500,000 per
year. It is anticipated that following the adoption of the DRAFT Parks and Trails Master Plan,
and as part of the Council’s 2023 Strategic Planning work, strategies for the future funding of park
needs will begin to be developed.
Unfunded Projects of the Park Master Plan:
Item 1A
Page | 5
All proposed neighborhood park renovation projects
Funding for proposed city dock replacements at Sand Point and Watzl’s
Ponds Outfield Fencing
Additionally, there is currently no funding plan for Sand Point Beach and Lakefront Park
proposed major renovations.
Fund 225 – New park improvements
In accordance with State Statutes, revenues in the Capital Park Fund may only be used for the
acquisition and development or improvement of parks, recreational facilities, playgrounds, trails,
wetlands, or open space based on the approved park systems plan. Future trail and
neighborhood park development is shown to occur in 2023 and 2026. See Attachment 3 and 5.
Fund 430 – Existing park improvement
This plan funds capital replacement projects, park amenities, and trail, sidewalk, and boardwalk
replacement. The plan proposes a phased increase in the tax levy to cover the capital projects
in the plan. See Attachments 4 and 5. The proposed improvements for the next five years include:
2023
Northwood Meadows BB court maintenance $10,000
Ponds Phase 1 (north ½ of wheel) $700,000
Ponds Playground replacement $350,000
Sand Point Park Backstop $10,000
Sand Point Beach Renovation study $75,000
Wilds North BB court maintenance $10,000
TOTAL $1,155,000
2024
Ryan BB court maintenance $15,000
Timbercrest BB court maintenance $10,000
Wilds BB court maintenance $15,000
TOTAL $40,000
2025
Ponds Phase 2 (south ½ of wheel) $800,000
Wilds Parkway Trail replacement $800,000
TOTAL $1,600,000
2026
Cardinal Ridge Parking lot improvements $45,000
Grainwood Crossing Parking lot improvements $5,000
Memorial Parking lot improvements $250,000
Location TBD Playground replacement $250,000
TOTAL $550,000
2027
Crystal Lake Fishing pier $22,000
Item 1A
Page | 6
Enclave BB court maintenance $15,000
Howard Lake BB court maintenance $15,000
Memorial Drinking fountain and windscreen $19,000
Woodridge Ballfield backstop $10,000
Location TBD Playground replacement $250,000
TOTAL $331,000
FACILITY MANAGEMENT PLAN (FMP)
The FMP was developed to plan for major repairs, replacements, and upgrades for all our
facilities. The FMP uses standard life expectancy of the facility components and equipment to
determine the appropriate placement in the plan. See Attachments 6 and 7 for more details. The
major expenditures are summarized below.
The 2023-2027 Personnel Plan includes staff additions for Police and Fire, including the
implementation of the Full-time Fire staffing model. Additional costs to support these staffing
changes include:
Fire Station #1: Duty crew renovation
Police Station: With the projections of the current personnel plan, we will be running out
of parking in our underground facility. The PD owned vehicles would continue to be
parked inside but we will need some additional parking for staff that work 24/7. It is an
industry standard to have secured employee parking for PD.
As discussed above, the Facilities Management CIP includes transfers in from the General fund
of $500,000 to pay for planned 2024 roof replacement costs at City Hall and the Police Station
on a pay go basis instead of debt issuance.
The major equipment purchases and all new additions are summarized below.
2023
City Hall Wall coverings $70,000
Police Overhead folding door, irrigation system,
carpet
233,000
Library/CP Remodel – Phase 2 $125,000
Fire 1 Irrigation system, vehicle exhaust system $115,500
Fire 2 Carpet, infrared tube heater $70,000
TOTAL $613,500
2024
City Hall Membrane roofing, irrigation system $283,500
Police Station Membrane roofing $310,000
Library/CP VAV boxes $17,500
Maintenance Center Overhead crane, auto gate $121,000
Fire 1 Wall coverings, turnout lockers, glass
doors, tile walls, exhaust fan, damper
104,600
Fire 2 Furnace and AC units (3 each) $60,000
TOTAL $896,600
2025
Police Outdoor secure parking, fencing $300,000
Item 1A
Page | 7
Library/CP Parking lot improvements $300,000
Fire Station 1 Rooftop Unit $147,500
TOTAL $747,500
2026
City Hall VAV boxes, doors, flooring, tile, HVAC,
carpet, etc.
1,194,500
Police VAV boxes, doors, HVAC, etc. $428,000
Maintenance Center Windows, hoists, etc. $301,500
Fire 2 Membrane roofing $112,000
TOTAL $2,036,000
2027
Police Epoxy flooring $85,000
Library/CP HVAC control system, air handling unit $228,500
Maintenance Center Concrete flooring $209,500
Fire 2 HVAC improvements $95,000
TOTAL $618,000
PAVEMENT MANAGEMENT PLAN – TRANSPORATION AND STREET OVERLAY PLANS
The proposed 2023-2027 Pavement Management Plan include the following projects that have been
previously discussed with the City Council.
2023 – Fish Point Road Phase II
The Fish Point Road Phase II project includes the full street and utility reconstruction of Fish Point Road
from 160th Street to TH 13.
2023 – CH 21/Revere Way Intersection Improvements
This project includes extending Revere Way north of CH 21 to 170th Street and eliminating the existing
170th Street/CH 21 intersection. The project costs will be shared with Scott County, but the City will be
the lead agency for design and project administration.
2023 – Marsh Rd NE Extension
With the recent construction of the Pike Lake Landing development north of CH 42 and east of CH 21,
Marsh Drive is constructed from CH 21 east approximately 0.30 miles. As a collector road within the city’s
transportation plan, Marsh Drive is planned to connect to the existing segment at Pike Lake Trail,
ultimately continuing east through the Vierling property to CH 18. The developer of the Pike Lake Landing
development has expressed interest in developing additional property that provides an opportunity for
the city to complete the connection to Pike Lake Trail. The completion of this connection requires an
estimated $800,000 in city funding for the portion of Marsh Drive that would be constructed through city
property. Currently city funding in the amount of $400,000 from the General Fund is identified and funding
sources for the remaining $400,000 are being evaluated. As a supporting road to CH 42 as a principal
arterial, the county has indicated a willingness to evaluate some level of county funding to facilitate the
completion of this road connection as a vital part of the long-term overall transportation network in this
area
The Pavement Management Plan has been updated to identify a combination of mill and overlay,
rehabilitation and reconstruction projects based on an average annual funding level of $7.4M for streets
beginning in 2024. This is based on the updated Pavement Management Plan completed in 2021 that
Item 1A
Page | 8
corresponds with the Council’s adoption of an increase in franchise fees with the new franchise fee
revenue being dedicated to pavement management. The projected projects for 2024 – 2027 are noted
below:
2024 – Wilds/Jeffers mill and overlay (12.5 miles)
The majority of the streets within the Wilds and Jeffers Developments based on age and condition are
candidates for mill and overlay improvements to extend the life of the pavement. Included within the
estimated project cost for these improvements is the replacement of bolts on all watermain fittings and
valves due to noted corrosive soil conditions within these developments that has led to premature failures.
2025 – Wilds Parkway reclamation
Based on the existing condition of Wilds Parkway, a mill and overlay is not a feasible pavement
management strategy. A full-depth removal and replacement of the road and pavement section is
proposed as a rehabilitation project. Also included with this project is the replacement of the existing trail
along the west side of Wilds Parkway from CH 82 to CH 83.
2025 – Lords Street Bridge Rehabilitation
Based on a recent bridge inspection completed by Scott County and additional follow up this past winter,
rehabilitation and replacement of the timber pier caps, pile cap plates, and painting of the pilings is
recommended to extend the life of the bridge.
2025 – Martindale/Henning/Hickory Reclamation
The existing pavement within this rural residential neighborhood continues to deteriorate and nearing the
point where maintenance is becoming unfeasible. A full-depth pavement rehabilitation is proposed for
this area to extend the life of the pavement section.
2026 – Northwood Phase 1
2027 – Northwood Phase 2
See Attachments 8-10 for further detail of the Pavement Management Program.
TECHNOLOGY PLAN
The Technology Plan is used to plan for current and long-range IT capital needs including general
equipment, network infrastructure and software needs. While this plan is reflective of the needs of our
various departments, the actual request could change as part of the budget review process. See
Attachment 11.
UTILITY FUNDS – FINANCIAL MANAGEMENT PLANS
The City’s utility funds finance their portions of the Capital Improvement Program through
transfers-out to other funds and by transactions occurring within the specific utility funds
themselves. The Utility funds make transfers-out for the Equipment Replacement Plan (ERP)
and Facilities Management Plan (FMP) for their portions of equipment purchases or facility
projects. Similarly, the Utility funds make transfers-out to the Construction Fund for their portions
of the Pavement Management Plan (PMP) projects. Other items that specifically relate only to
that utility are accounted for within the fund, such as a water tower rehabilitation occurring in the
Water fund. The City develops a financial management plan for each utility fund that includes
planning financing sources for capital activities.
Item 1A
Page | 9
The financial management plans for water, sewer and stormwater utility services achieve the
following goals:
Rate Calculation: Provide for a rate calculation that results in equitable and competitive
fixed versus variable portion charge to customers and considers conservation impact of
tiers and block rates.
Revenue Sufficiency: Focus on revenue sufficiency to provide cash balances that support
the following objectives:
o Revenue to meet current and future obligations
o Avoid future debt issuance consistent with City objectives
o Cash on-hand to provide:
Three-months of operating expense
Following-year debt service payments
Following year capital acquisition (planned to be paid from cash)
Reserves for replacement of infrastructure located under private streets
Reserves for future capital improvements
2023 Resident Impact and Sample Bill:
The City plans for modest annual increases in utility rates to accomplish the objectives discussed
above while moderating the effects on utility users. Based upon the City’s current estimates,
utility customers will experience increases of 2.0% - 4.0% per year.
In order for the utility funds to support operations and their respective portions of the Capital
Improvement Program, the City proposes a Water rate increase of 1.5%, Sewer rate increase of
2%, and Stormwater rate increase of 11.5%. Increase in stormwater fee is due to the decision in
2021 to add storm sewer replacement costs on reconstruction projects to the stormwater utility
fund (previously were part of the general levy and assessment cost), as well as adding $950k in
funding in 2024 for regional water quality pond project. It should be noted that City utility bills also
include an MCES Fee for Sewer. This fee does not support City operations or the Capital
Improvement Plan, but rather is a fee collected by the City from residents to pay the Metropolitan
Council’s Environmental Services fee for regional wastewater treatment. The fee will increase
3.5% for 2023, reflecting the increased fee that the Metropolitan Council is charging Prior Lake.
This fee increase, as well as the utility rate increases needed to support operations and the Capital
Improvement Plan is reflected below. A bi-monthly sample bill showing all utility services, and
their projected change from 2022 is shown below:
Item 1A
Page | 10
The Five-Year Financial Management Plan Cash by Purpose and projected change in rates for
the Water, Sewer and Water Quality Funds are shown on Attachment 14, 15, and 16.
FINANCIAL IMPACT:
In reviewing the 2023-2027 Capital Improvement Program, the City Council should consider the
annual tax impact of the scheduled projects.
CIP Bonding:
The 2023-2027 CIP includes projects that are funded by bond proceeds. Bonds are issued for
the project costs that the City is funding through tax levies as well as the costs that are specially
assessed to property owners.
The 2023-2027 CIP anticipates the following bonding needs:
The five-year Pavement Management Plan includes bonding of $17,383,500 for
transportation plan projects and $2,506,000 for street overlay projects. The repayment
sources for this bonding include:
o Tax levy
o Project Special Assessment (The city provides the upfront funding for the special
assessment portion via bonding)
o MN State Aid – a portion of the annual allocation will be used for debt repayment
Water, Sewer & Stormwater - 2023
Proposed
High Volume
Customer
Medium Volume
Customer
Low Volume
Customer
Gallons Water Billed for Billing Period 78,000 18,000 8,000
Gallons Sewer Billed for Billing Period 47,000 12,000 7,000
Stormwater REU 1 1 1
2022
Base Fee 54.72$ 54.72$ 54.72$
MCES Fee for Sewer 145.71 37.20 21.70
Tier 1 Volume 60.00 60.00 45.45
Tier 2 Volume 72.00 39.24 -
Tier 3 Volume 93.60 - -
Tier 4 Volume 489.33 - -
Total Fee 915.36$ 191.16$ 121.87$
2023
Base Fee 57.33$ 57.33$ 57.33$
MCES Fee for Sewer 150.87 38.52 22.47
Tier 1 Volume 61.03 61.03 46.22
Tier 2 Volume 73.23 39.86 -
Tier 3 Volume 95.20 - -
Tier 4 Volume 497.18 - -
Total Fee 934.85$ 196.74$ 126.03$
Increase 2.1%2.9%3.4%
Increase 19.48$ 5.58$ 4.15$
Item 1A
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Bonding for the following major facility repairs, equipment replacements and water/sewer
plan capital projects by year:
Year Major Facility
Repairs
Equipment
Replacements
2023 - -
2024 300,000 -
2025 - -
2026 1,740,000 -
2027 - -
The major facility expenditures are for City Hall and Police Station replacement of membrane
roofing and heating, ventilation and air conditioning (HVAC) updates.
Summary of Projected Debt Balances
The chart below reflects the cumulative effect of proposed new debt issued (blue section) and the
retirement of existing debt (green section).
Based on the proposed projects in the CIP, debt is projected to decrease from $33.8M at the end
of 2021 to $31.1M at the end of 2027. As mentioned above, staff is proposing a phased tax levy
increase to prepare for full-time firefighters by 2026. Since this funding is in preparation of our
2026 needs, it will be used for capital project debt reduction until needed in 2026 for personnel
funding. By doing this, the city will pay for capital purchases of $2.4M on a pay go basis, instead
of issuing debt. This minimizes the need for future bond issues (debt).
Item 1A
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Summary of Projected Tax Levy for Debt Service:
The chart below shows the projected annual tax levy for debt service. The chart illustrates that
debt service remains constant from 2021-2025 at about $3,600,000. Based on the proposed
projects in the CIP, debt service increases significantly in 2026 and 2027 due to bonding (debt
issuance) for two street projects in 2025 (Wilds Pkwy Reclamation and Martindale Area Street
projects) and the 2026 bonding for facility work at City Hall and the Police Station. Both buildings
were built in 2006. The significant facility project costs are replacement of VAV Boxes, Chillers,
Air Handlers, and Carpet.
Debt per capita is estimated to decrease from $1,211 in 2021 to $960 in 2027 based on the current
capital projects planned. The city is working to manage its debt load while providing needed
capital replacement projects in a growing city.
Item 1A
Page | 13
Bond Repayment through Debt Service Tax Levy:
The impact of the 2023-2027 CIP and other anticipated bond payment adjustments on the debt
service property tax levy are reflected in the following tables.
Projected five-year annual change in debt levy:
The table below indicates that we are planning to reduce our annual debt levy in 2023 and 2024.
We are showing an increase in the annual debt levy in 2022 and 2025. Staff will work with our
municipal advisor to review options for structuring the debt to minimize the annual debt service
impact.
The table below is a summary of the annual projected total CIP tax levy by component.
Projected change in total CIP Tax Levy:
The table below shows the projected change in the CIP tax levy by component.
2023 2024 2025 2026 2027
Debt:
Change in Debt Levy (57,218) (22,062) 176,319 468,784 413,992
Projected Change in DebtLevy2023-2027 CIP
2023 2024 2025 2026 2027
Equipment
Revolving Fund
750,000 800,000 850,000 900,000 950,000
Revolving Park
Equip Fund
440,000 485,000 535,000 595,000 655,000
Facilities
Management Fund
155,000 205,000 255,000 305,000 355,000
Debt Service 3,622,149 3,600,087 3,776,406 4,245,189 4,659,181
Total CIP Tax Levies 4,967,149 5,090,087 5,416,406 6,045,189 6,619,181
2023-2027 CIP
Tax Levies:
Projected CIP Tax Levy
2023 2024 2025 2026 2027
Equipment
Revolving Fund
50,000 50,000 50,000 50,000 50,000
Revolving Park
Equip Fund
35,000 45,000 50,000 60,000 60,000
Facilities
Management Fund
50,000 50,000 50,000 50,000 50,000
Debt Service (57,218) (22,062) 176,319 468,784 413,992
Total CIP Tax Levies 77,782 122,938 326,319 628,784 573,992
2023-2027 CIP
Tax Levies:
Projected Change in CIP Tax Levy
Item 1A
Page | 14
This project debt service levy estimates for years 2023-2027is based on ten-year level annual
debt service payments.
Bond Repayment Debt Service supported by Water and Sewer Fund Revenues:
Revenues of the Water and Sewer Funds support the annual debt service for the Water
Treatment Plant debt refunding bond issues, the AMRS replacement, and the Huron area
street improvements. Based on the current projects in the CIP, staff is not proposing any
utility funds debt issuance in 2023-2027. The projected annual debt service for the utility
funds is shown below:
CIP Impact on Long Range Financial Plan:
The financial plan incorporates the debt and tax levy impacts of the Capital Improvement
Program. Approval of the CIP does not obligate the City to complete the proposed projects or
purchases. The 2023 projects/proposed purchases will be incorporated into the 2023 budget
requests for budgeted funds. Further Council approvals may be necessary to comply with state
statutes and the city’s purchasing policy.
Conclusion:
The City has been working over the last several years to document its assets and plan for major
maintenance or replacements. As these documents have been refined, the financial impacts of
our needs are putting pressure on our funding mechanisms given our current funding levels. The
update of the gas and electric franchise fees to $5, starting in 2022, will provide a much-needed
funding source for pavement management. Department Heads will be participating in the
workshop to provide a summary of the proposed capital purchases in their respective
departments.
The City Council is asked to provide Staff with comments and input on these components of the
draft CIP so that they can be refined in preparation for the public review and approval process. A
public presentation before the City Council is scheduled for the proposed CIP on Monday, August
15.
RECOMMENDED ACTION:
The Council is asked to provide comments on the draft CIP plans presented so the CIP process
can proceed as planned.
ATTACHMENTS:
1. Attach 1 - F410 2022-2031 Sources and Uses of Funds
2. Attach 2 - F410 2022-2031 Projects by Category and Dept
3. Attach 3 - F225 2022-2031 Sources and Uses of Funds
4. Attach 4 - F430 2022-2031 Sources and Uses of Funds
2023 2024 2025 2026 2027
Water 779,100 784,300 789,000 791,950 801,700
Sewer 169,850 169,650 164,250 162,500 165,500
2023-2027 CIP Projected Debt Service (funded by Utility Fund Revenues)
Item 1A
Page | 15
5. Attach 5 - Parks 2022-2031 Projects by Category and Dept
6. Attach 6 - F440 2022-2031 Sources and Uses of Funds
7. Attach 7 - F440 2022-2031 Projects by Category and Dept
8. Attach 8 - F501 2022-2031 Sources and Uses of Funds
9. Attach 9 - F450 2022-2031 Sources and Uses of Funds
10. Attach 10 - Pavement Management 2022-2031 Projects and Funding by Dept
11. Attach 11 - Tech Plan 2022-2031 Projects by Category and Dept
12. Attach 12 - Water Fund Cash
13. Attach 13 - Sewer Fund Cash
14. Attach 14 - Stormwater Cash
15. Attach 15 - City Total Projects by Department and Funding Source
2023 2024 2025 2026 2027
Revolving Equipment Fund (F410)
Beginning Balance 469,000 73,900 436,150 375,650 361,050
Revenues and Other Fund Sources
Revenue
Tax Levy 750,000 825,000 875,000 925,000 975,000
Water Fund (F601)108,750 73,500 162,450 0 0
Water Quality Fund (F602)0 0 125,000 0 0
Sewer Fund (F604)108,750 73,500 162,450 0 0
Contributions and Donations 0 0 300,000 0 0
Fire Contract (Spring Lake and Credit River)0 0 0 56,000 56,000
Transfer in from General Fund 0 300,000 1,200,000 0 0
Interest Earnings 10,000 7,000 7,000 7,000 7,000
Total Revenues and Other Fund Sources 977,500 1,279,000 2,831,900 988,000 1,038,000
Total Funds Available 1,446,500 1,352,900 3,268,050 1,363,650 1,399,050
Expenditures and Uses
Capital Projects & Equipment
Building Inspection (38,000)0 0 0 0
Central Garage (20,000)(20,000)(20,000)(20,000)(20,000)
Fire (299,000)(102,000)(1,500,000)(49,500)(47,000)
Parks (604,500)(430,000)(50,600)(266,000)(380,500)
Police (314,100)(284,750)(690,300)(325,600)(329,000)
Streets (97,000)(80,000)(631,500)(341,500)(377,500)
Total Expenditures and Uses (1,372,600)(916,750)(2,892,400)(1,002,600)(1,154,000)
Change in Fund Balance (395,100)362,250 (60,500)(14,600)(116,000)
Ending Balance 73,900 436,150 375,650 361,050 245,050
City of Prior Lake, Minnesota
Capital Improvement Program
2023 thru 2027
REVOLVING EQUIPMENT FUND (F410)
SOURCES AND USES OF FUNDS
Capital Improvement Program
City of Prior Lake, Minnesota
PROJECTS & FUNDING SOURCES BY DEPARTMENT
2023 2027thru
Total20232024202520262027DepartmentProject #
Streets: Overlay
PIR24-000001 6,570,0006,570,000Wilds/Jeffers Mill and Overlay
Franchise Fees 3,204,000 3,204,000
G.O. SA Bonds - Overlay Assessment 470,000 470,000
G.O. SA Bonds - Project Levy 1,046,000 1,046,000
Utility: Water Fund (F601)1,850,000 1,850,000
PIR27-000001 990,000990,000NorthwoodsPhase2MillandOverlay
G.O. SA Bonds - Overlay Assessment 285,000 285,000
G.O. SA Bonds - Project Levy 705,000 705,000
7,560,0006,570,000 990,000Streets: Overlay Total
Streets: Transportation
TRN22-000001 5,998,0005,998,000FishPointRoadPhaseII
City MSA Funds 1,355,000 1,355,000
G.O. SA Bonds - Project Assessment 440,500 440,500
G.O. SA Bonds - Project Levy 183,000 183,000
G.O. SA Bonds - Project MSA 3,108,000 3,108,000
Utility: Sewer Fund (F604)330,000 330,000
Utility: Water Fund (F601)581,500 581,500
TRN22-000002 5,567,0005,567,000CSAH21 (Revere to 170th St)
County 2,274,000 2,274,000
Developer - Upfront Costs 394,000 394,000
Federal Grant 578,700 578,700
G.O. SA Bonds - Project Assessment 806,000 806,000
Street Oversize Fund (F503)1,514,300 1,514,300
TRN23-000001 800,000800,000MarshDrNEExt
City - Unidentified Funding Source 40,000 40,000
Construction Fund (F501)60,000 60,000
County 200,000 200,000
General Fund (F101)400,000 400,000
TIF Fund (F414)100,000 100,000
TRN24-000001 4,925,0004,925,000WildsPkwyReclamation
G.O. SA Bonds - Project Assessment 400,000 400,000
G.O. SA Bonds - Project Levy 3,400,000 3,400,000
Revolving Park Equip. Fund (F430)800,000 800,000
Utility: Storm Water Fund (F602)0 0
Utility: Water Fund (F601)325,000 325,000
TRN24-000002 300,000300,000LordsStreetBridgeRehab
Franchise Fees 300,000 300,000
TRN24-000003 1,355,0001,355,000Martindale/Henning/Hickory Reclamation
G.O. SA Bonds - Project Assessment 105,000 105,000
G.O. SA Bonds - Project Levy 1,100,000 1,100,000
Utility: Storm Water Fund (F602)150,000 150,000
TRN25-000001 10,163,00010,163,000NorthwoodPhase1
Franchise Fees 1,948,000 1,948,000
G.O. SA Bonds - Project Assessment 1,000,000 1,000,000
Thursday, June 16, 2022Page1ProducedUsingthePlan-It Capital Planning Software
Total20232024202520262027DepartmentProject #
G.O. SA Bonds - Project Levy 4,352,000 4,352,000
Utility: Sewer Fund (F604)1,020,000 1,020,000
Utility: Storm Water Fund (F602)693,000 693,000
Utility: Water Fund (F601)1,150,000 1,150,000
TRN26-000001 5,350,0005,350,000NorthwoodPhase2
Franchise Fees 1,151,000 1,151,000
G.O. SA Bonds - Project Assessment 340,000 340,000
G.O. SA Bonds - Project Levy 2,149,000 2,149,000
Utility: Sewer Fund (F604)700,000 700,000
Utility: Storm Water Fund (F602)360,000 360,000
Utility: Water Fund (F601)650,000 650,000
34,458,00012,365,000 6,580,000 10,163,000 5,350,000Streets: Transportation Total
GRAND TOTAL 42,018,00012,365,000 6,570,000 6,580,000 10,163,000 6,340,000
Thursday, June 16, 2022Page2ProducedUsingthePlan-It Capital Planning Software
Capital Improvement Program
City of Prior Lake, Minnesota
PROJECTS BY CATEGORY AND DEPARTMENT
2023 2027thru
Total20232024202520262027
Department
Category
Cable
Equipment: Audio/Visual
11,650 11,650TightropeFlexLite340 - Control Room COMM-001
12,400 12,400Webstreaming - Control Room COMM-002
52,400 52,400ChambersPresentation - Chambers COMM-003
62,000 62,000ControlRoomProduction - Control Room COMM-004
24,050 52,400 62,000 138,450Sub-Total
24,050 52,400 62,000 138,450DepartmentTotal:
Elections
I.T.- General Equipment
36,000 36,000PollPads - qty 28 ELEC-001
18,000 20,000 38,000Tabulators - qty 2 ELEC-002
54,000 20,000 74,000Sub-Total
54,000 20,000 74,000DepartmentTotal:
Technology
I.T.- General Equipment
00EpsonProjector - Parkview TECH-EQ-002
10,600 10,600RicohMPC4503 - CD/Eng TECH-EQ-003
6,500 6,500RicohIMC2500P&R TECH-EQ-004
10,600 10,600RicohMPC4504 - Admin TECH-EQ-005
9,000 9,000RicohMPC3003 - PW TECH-EQ-006
9,500 9,500RicohMPC3504 - Police TECH-EQ-007
6,000 6,000RicohMPC2504TECH-EQ-008
9,000 9,000HPDesignJetT1500 - CD/Eng TECH-EQ-009
18,000 18,000RicohW3601Copier - CD/Eng
TECH-EQ-010
6,400 6,400RicohCopier - City Hall Main Floor TECH-EQ-011
40,000 40,000MarcoPhoneUpgradeTECH-EQ-012
32,500 27,000 20,100 46,000 125,600Sub-Total
I.T.- Network Infrastructure
12,000 12,000NetworkSwitchTECH-NW-005
15,000 15,000HPProliantDL380ESX01TECH-NW-006
15,000 15,000HPProliantDL380ESX02TECH-
NW-007
36,000 36,000DellSANTECH-NW-008
12,000 66,000 78,000Sub-Total
32,500 39,000 20,100 112,000 203,600DepartmentTotal:
Tuesday, June 14, 2022Page1ProducedUsingthePlan-It Capital Planning Software
Total20232024202520262027
Department
Category
86,500 39,000 44,150 164,400 82,000 416,050GRANDTOTAL
Tuesday, June 14, 2022Page2ProducedUsingthePlan-It Capital Planning Software
Capital Improvement Program
City of Prior Lake, Minnesota
DEPARTMENT SUMMARY
2023 2027thru
Total20232024202520262027Department
Building Inspection 38,00038,000
Cable 138,45024,050 52,400 62,000
Central Garage 100,00020,000 20,000 20,000 20,000 20,000
Elections 74,00054,000 20,000
Facilities 4,911,600613,500 896,600 747,500 2,036,000 618,000
Fire 1,997,500299,000 102,000 1,500,000 49,500 47,000
Parks 1,731,600604,500 430,000 50,600 266,000 380,500
Parks: Projects 4,826,0001,805,000 40,000 1,600,000 1,050,000 331,000
Police 1,943,750314,100 284,750 690,300 325,600 329,000
Streets 1,527,50097,000 80,000 631,500 341,500 377,500
Streets: Overlay 7,560,0006,570,000 990,000
Streets: Transportation 34,458,00012,365,000 6,580,000 10,163,000 5,350,000
Technology 203,60032,500 39,000 20,100 112,000
Utility: Sewer Fund 4,334,000641,000 1,675,000 709,500 669,000 639,500
Utility: Storm Water Fund 3,586,000711,000 1,448,000 585,000 402,000 440,000
Utility: Water Fund 1,748,700351,700 185,500 191,500 370,000 650,000
17,946,300 11,770,850 13,350,050 15,857,000 10,254,500 69,178,700TOTAL
Thursday, June 16, 2022Page1ProducedUsingthePlan-It Capital Planning Software
Capital Improvement Program
City of Prior Lake, Minnesota
FUNDING SOURCE SUMMARY
2023 thru 2027
TotalSource20232024202520262027
Cable Franchise Fund (F210)138,45024,050 52,400 62,000
Capital Park Fund (F225)1,150,000650,000 0 500,000
City - Unidentified Funding Source 40,00040,000
City MSA Funds 1,355,0001,355,000
Construction Fund (F501)60,00060,000
County 2,474,0002,474,000
Developer - Upfront Costs 394,000394,000
Facilities Management Fund (F440)2,871,600613,500 596,600 747,500 296,000 618,000
Federal Grant 578,700578,700
Franchise Fees 6,603,0003,204,000 300,000 1,948,000 1,151,000
G.O. Capital Improvement Bonds 2,040,000300,000 1,740,000
G.O. SA Bonds - Overlay Assessment 755,000470,000 285,000
G.O. SA Bonds - Project Assessment 3,091,5001,246,500 505,000 1,000,000 340,000
G.O. SA Bonds - Project Levy 12,935,000183,000 1,046,000 4,500,000 4,352,000 2,854,000
G.O. SA Bonds - Project MSA 3,108,0003,108,000
General Fund (F101)671,600486,500 33,000 20,100 112,000 20,000
Revolving Equip. Fund (F410)7,042,3501,372,600 916,750 2,596,400 1,002,600 1,154,000
Revolving Park Equip. Fund (F430)4,476,0001,155,000 40,000 2,400,000 550,000 331,000
Street Oversize Fund (F503)1,514,3001,514,300
TIF Fund (F414)100,000100,000
Utility: Sewer Fund (F604)6,515,000971,000 1,678,000 837,500 1,689,000 1,339,500
Utility: Storm Water Fund (F602)4,914,000711,000 1,448,000 860,000 1,095,000 800,000
Utility: Water Fund (F601)6,351,200933,200 2,038,500 559,500 1,520,000 1,300,000
17,946,300 11,770,850 13,350,050 15,857,000 10,254,500 69,178,700GRANDTOTAL
Wednesday, June 22, 2022Page1ProducedUsingthePlan-It Capital Planning Software
Water Fund
Summary of Key Financial Information
Water Fund 2023 2024 2025 2026 2027
Cash by Purpose
For future capital improvements 3,798,268 4,368,731 4,246,914 4,562,963 2,603,615
For following year pay-go capital 2,038,500 559,500 1,520,000 1,300,000 3,574,500
For 3-months of operating cash 833,148 845,601 889,356 881,386 905,220
For following year debt service 784,300 789,000 791,950 801,700 810,450
Ending Cash 7,454,216 6,562,832 7,448,220 7,546,049 7,893,784
Total Average Number of Customer Bills 9,678 9,813 9,938 10,063 10,188
Total Water Volume Billed (1,000 of gallons)829,723 839,443 848,443 857,443 866,443
High Volume Customer (78,000 gallons)1.5%1.5%1.5%1.5%1.5%
Medium Volume Customer (18,000 gallons)1.5%1.5%1.5%1.5%1.5%
Low Volume Customer (8,000 gallons)1.5%1.5%1.5%1.5%1.5%
Average Annual % Change in Water Bill for Billing Period
Water Fund
Capital Improvement Plan
Water Fund
Project Description 2023 2024 2025 2026 2027
Capital Outlay
Transportation Plan 581,500 1,850,000 325,000 1,150,000 650,000
Meter Replacement Program - Software Upgrade - - 12,500 - -
Wells 105,000 55,000 57,500 60,000 50,000
Misc projects 105,000 70,000 15,000 300,000 300,000
Current Year Projects - Facilities 135,500 40,500 - - 300,000
Water Storage & Tower Reconditioning 6,200 - - 10,000 -
Technology Plan - 3,000 1,500 - -
Current year projects - Equipment - - 128,000 - -
WTF Rehabs & Equipment - 20,000 20,000 - -
Total Capital Outlay 933,200 2,038,500 559,500 1,520,000 1,300,000
Source of Funds
Bond proceeds - - - - -
Current revenue / use of cash in fund 933,200 2,038,500 559,500 1,520,000 1,300,000
Total Source of Funds 933,200 2,038,500 559,500 1,520,000 1,300,000
Sanitary Sewer Fund
Summary of Key Financial Information
Sewer Fund 2023 2024 2025 2026 2027
Cash by Purpose
For future capital improvements 2,291,671 3,358,320 3,555,413 4,365,425 3,923,333
For following year pay-go capital 1,678,000 837,500 1,689,000 1,339,500 2,641,000
For 3-months of operating cash 868,285 906,921 974,615 992,956 1,045,353
For following year debt service 169,650 164,250 162,500 165,500 168,000
Ending Cash 5,007,606 5,266,991 6,381,528 6,863,381 7,777,686
Total Average Number of Customer Bills 9,539 9,674 9,799 9,924 10,049
Total Sewer Volume Billed (1,000 of gallons)747,778 755,878 763,378 770,878 778,378
High Volume Customer (47,000 gallons)2.0%2.1%2.1%2.1%2.1%
Medium Volume Customer (12,000 gallons)2.1%2.2%2.3%2.3%2.3%
Low Volume Customer (7,000 gallons)2.1%2.3%2.3%2.4%2.4%
Average Annual % Increase for Fees and Charges
Sanitary Sewer Fund
Capital Improvement Plan
Sewer Fund
Project Description 2023 2024 2025 2026 2027
Capital Outlay
Transportation Plan 330,000 - - 1,020,000 700,000
Meter Replacement Program - - 12,500 - -
Sewer Lining - Inflow/Infiltration Prevention 394,000 1,500,000 454,500 468,000 482,000
Lift Station Rehabilitation 247,000 175,000 142,500 150,000 157,500
Technology Plan - 3,000 10,000 - -
Generator/Equipment - - 218,000 51,000 -
Total Capital Outlay 971,000 1,678,000 837,500 1,689,000 1,339,500
Source of Funds
Bond Proceeds - - - - -
Current revenue / use of cash in fund 971,000 1,678,000 837,500 1,689,000 1,339,500
Total Source of Funds 971,000 1,678,000 837,500 1,689,000 1,339,500
Storm Water Quality Fund
Summary of Key Financial Information
Stormwater Fund 2023 2024 2025 2026 2027
Cash by Purpose
For future capital improvements 337,338 238,804 10,144 15,610 158,241
For following year pay-go capital 1,448,000 860,000 1,095,000 800,000 949,250
For 3-months of operating cash 196,064 199,580 205,186 242,207 216,899
Ending Cash 1,981,402 1,298,384 1,310,330 1,057,817 1,324,391
Total Average Number of Residential Equivalent
Units Billed 11,877 12,012 12,137 12,262 12,387
Per Residential Equivalent Unit 11.5%11.5%8.0%6.0%6.0%
Average Annual % Increase for Fees and Charges
Storm Water Quality Fund
Capital Improvement Plan
Stormwater Fund
Project Description 2023 2024 2025 2026 2027
Capital Outlay
Transportation Plan - - 150,000 693,000 360,000
Pond Maintenance & Retrofit 200,000 206,000 212,000 218,000 225,000
Stormwater Improvements 150,000 150,000 150,000 150,000 150,000
Stormwater Pond Planning 31,000 32,000 33,000 34,000 35,000
Other 50,000 - - - -
Misc projects 280,000 110,000 190,000 - 30,000
Regional Water Quality Pond
Project
950,000 - - -
Equipment - - 125,000 - -
Total Capital Outlay 711,000 1,448,000 860,000 1,095,000 800,000
Source of Funds
Bond Proceeds - - - - -
Current revenue / use of cash
in fund
711,000 1,448,000 860,000 1,095,000 800,000
Total Source of Funds 711,000 1,448,000 860,000 1,095,000 800,000
Capital Improvement Program
City of Prior Lake, Minnesota
PROJECTS BY CATEGORY AND DEPARTMENT
2023 2027thru
Total20232024202520262027
Department
Category
Building Inspection
Equipment: Pick Ups/Vans
38,000 38,000TRUCK-1/2 TON 6397
38,000 38,000Sub-Total
38,000 38,000DepartmentTotal:
Central Garage
Equipment: Miscellaneous
20,000 20,000 20,000 20,000 20,000 100,000RefurbishingREFUR
20,000 20,000 20,000 20,000 20,000 100,000Sub-Total
20,000 20,000 20,000 20,000 20,000 100,000DepartmentTotal:
Fire
Equipment: Apparatus
200,000 200,000Fire - Heavy Rescue 9215
00FireTruckHeavyRescue (Refurbish)9216
1,500,000 1,500,000FireLadderTruck9280
200,000 0 1,500,000 1,700,000Sub-Total
Equipment: First Response
49,500 49,500SquadFire (Chief)9200
52,000 52,000SquadPick-Up 1/2 Ton 9202
46,000 46,000SquadPick-Up 1/2 Ton 9203
46,000 52,000 49,500 147,500Sub-Total
Equipment: Grass Rigs
50,000 50,000FireTruck1Ton9272
50,000 50,000Sub-Total
Equipment: Other
47,000 47,000UTV9275
53,000 53,000FireRadiosFD-RADIOS
53,000 47,000 100,000Sub-Total
299,000 102,000 1,500,000 49,500 47,000 1,997,500DepartmentTotal:
Parks
Equipment: Attachments
2,500 2,500SKIDSTEERSNOWBUCKET8256
3,000 3,000SKIDSTEERSNOWBUCKET8257
1,600 1,600SKIDSTEERU-BLADE 8260
00DISC8266
12,000 12,000STUMPGRINDER8272
Tuesday, June 14, 2022Page1ProducedUsingthePlan-It Capital Planning Software
Total20232024202520262027
Department
Category
18,500 18,500TOPDRESSER8273
22,600 3,000 12,000 37,600Sub-Total
Equipment: Loaders/Skid Steers
75,000 75,000SKIDSTEER - TRACKS 8502
17,000 17,000FORKLIFT8558
92,000 92,000Sub-Total
Equipment: Pick Ups/Vans
43,000 43,000TRUCK1/2 TON 8508
31,000 31,000TRUCK-1 TON 8540
68,000 68,000TRUCK-1 TON 8543
78,500 78,500TRUCK-1 TON 8545
66,000 66,000Truck-1 Ton Dump 8546
62,500 62,500Truck-1 Ton Dump 8547
68,500 68,500TRUCK-1 TON 8548
146,500 228,000 43,000 417,500Sub-Total
Equipment: Street/Sidewalk
165,000 165,000SIDEWALKMACHINE8506
165,000 165,000Sub-Total
Equipment: Trailers
3,000 3,000TRAILER-SMALL ENCLOSED 8529
10,000 10,000TRAILER8533
10,000 3,000 13,000Sub-Total
Equipment: Tree Care
85,000 85,000WOODCHIPPER8510
85,000 85,000Sub-Total
Equipment: Turf Care
155,000 155,000MOWER-16FT 8503
155,000 155,000MOWER-16FT 8504
135,000 135,000TRACTOR8507
6,000 6,000SODCUTTER8512
90,000 90,000TOOLCATW/MOWER NEW 8513
45,000 45,000MOWER - 6 FT NEW 8522
45,000 45,000MOWER-6FT 8524
45,000 45,000MOWER-6FT
8525
45,000 45,000MOWER-6FT 8526
68,000 68,000UTILITYVEH-STRIPER
8535
24,000 24,000UTILITYVEHICLE8536
28,000 28,000UTILITYVEH-FIELD GROOMER 8537
31,500 31,500UTILITYVEH-WATER TANK
8538
29,000 29,000UTILITYVEHICLE8539
293,000 335,000 28,000 35,000 210,500 901,500Sub-Total
Equipment: Utility Equp.
20,000 20,000ELECTRICSCISSORLIFT8551
20,000 20,000Sub-Total
604,500 430,000 50,600 266,000 380,500 1,731,600DepartmentTotal:
Police
Tuesday, June 14, 2022Page2ProducedUsingthePlan-It Capital Planning Software
Total20232024202520262027
Department
Category
Equipment: Emerg. Sirens
10,800 10,8001996Siren@13760McKennaRdNWPD-Siren08
10,800 10,8001997Siren@16730NorthwoodRdNWPD-Siren09
25,000 25,0001998Siren@14649GlendaleAveSEPD-Siren10
25,750 25,7502003Siren@16280DuluthAveSEPD-Siren11
26,500 26,5002004Siren@5634LutherRdSEPD-Siren12
27,300 27,3002005Siren@14998WildsPkwyNWPD-Siren13
28,100 28,1002006Siren@1546BelmontAveNWPD-Siren14
29,000 29,0002007Siren@1500SpringLakeCir., Jordan PD-Siren15
46,600 52,250 27,300 28,100 29,000 183,250Sub-Total
Equipment: Squads
45,500 45,500SQUADNEW7114
48,000 48,000SQUADNEW7115
50,000 50,000SQUADNEW7116
50,000 50,000InvestigatorCar (1516)7135
375,000 375,000BearcatNEW7139
40,000 40,000DrugTaskForceCar (1815)7298
182,000 247,500 429,500Squads-Marked Multiple 1
232,500 250,000 482,500Squads-Marked Multiple 2
240,000 240,000Squads-Marked Multiple 3
267,500 232,500 663,000 297,500 300,000 1,760,500Sub-Total
314,100 284,750 690,300 325,600 329,000 1,943,750DepartmentTotal:
Streets
Equipment: Attachments
00SKIDSTEERTRAILERMOVER8254
26,000 26,000SKIDSTEERASPHALTMILL8258
27,500 27,500SKIDSTEERMANHOLECUTTER8261
25,000 25,0002003DIRECTIONALSAFETYSIGN8426
25,000 26,000 0 27,500 78,500Sub-Total
Equipment: Dump Trucks
247,000 247,000TRUCK-5TON-DUMP-SINGLE AXLE 8466
247,000 247,000Sub-Total
Equipment: Emergency Power
55,000 55,000Generator - PD GEN-PD
55,000 55,000Sub-Total
Equipment: Loaders/Skid Steers
79,500 79,500SKIDSTEER8781
177,000 177,000LOADER-BACKHOE 8785
275,000 275,000LOADERWHEEL8789
256,500 275,000 531,500Sub-Total
Equipment: Pick Ups/Vans
103,000 103,000TRUCK-1.5 TON-DUMP 8452
57,000 57,000TRUCK-1 TON 8457
54,000 54,000Pickup1TonNew8550
125,000 125,000Truck - 1.5 Ton - Dump New 8552
57,000 54,000 125,000 103,000 339,000Sub-Total
Equipment: Street/Sidewalk
Tuesday, June 14, 2022Page3ProducedUsingthePlan-It Capital Planning Software
Total20232024202520262027
Department
Category
250,000 250,000STREETSWEEPER-MECHANICAL 8472
250,000 250,000Sub-Total
Equipment: Trailers
11,500 11,500TRAILER8479
15,000 15,000TRAILER8480
15,000 11,500 26,500Sub-Total
97,000 80,000 631,500 341,500 377,500 1,527,500DepartmentTotal:
1,372,600 916,750 2,892,400 1,002,600 1,154,000 7,338,350GRANDTOTAL
Tuesday, June 14, 2022Page4ProducedUsingthePlan-It Capital Planning Software
2023 2024 2025 2026 2027
Capital Park Fund (F225) - NEW PARKS
Beginning Balance 2,185,000 2,388,500 2,995,600 3,603,700 3,712,800
Revenues and Other Fund Sources
Revenue
Charges for Services: Park Dedication Fees 562,500 562,500 562,500 562,500 562,500
Rent 24,000 24,000 24,000 24,000 24,000
Mn DNR Local Trail Grant 250,0000000
Interest Earnings 20,400 24,000 25,000 26,000 27,000
Total Revenues and Other Fund Sources 856,900 610,500 611,500 612,500 613,500
Total Funds Available 3,041,900 2,999,000 3,607,100 4,216,200 4,326,300
Expenditures and Uses
Capital Projects & Equipment
Parks: Projects
Future Neighborhood Park Development 225-001 0 0 0 (500,000) 0
TH13 Trail TRN19-000004 (650,000)0000
Total (650,000) 0 0 (500,000) 0
Other Uses
Property Taxes (3,400) (3,400) (3,400) (3,400) (3,400)
Total (3,400) (3,400) (3,400) (3,400) (3,400)
Total Expenditures and Uses (653,400) (3,400) (3,400) (503,400) (3,400)
Change in Fund Balance 203,500 607,100 608,100 109,100 610,100
Ending Balance 2,388,500 2,995,600 3,603,700 3,712,800 4,322,900
City of Prior Lake, Minnesota
Capital Improvement Program
2023 thru 2027
CAPITAL PARK FUND (F225)
SOURCES AND USES OF FUNDS
2023 2024 2025 2026 2027
Revolving Park Equipment Fund (F430) - REPLACEMENT
Beginning Balance 1,398,000 995,700 1,452,700 399,700 456,700
Revenues and Other Fund Sources
Revenue
Tax Levy 440,000 485,000 535,000 595,000 655,000
Mn DNR Outdoor Recreation Grant 299,000 0 0 0 0
Interest Earnings 13,700 12,000 12,000 12,000 12,000
Total Revenues and Other Fund Sources 752,700 497,000 547,000 607,000 667,000
Total Funds Available 2,150,700 1,492,700 1,999,700 1,006,700 1,123,700
Expenditures and Uses
Capital Projects & Equipment
Parks: Projects
Wilds North BB Court Maintenance 430-010 (10,000) 0 0 0 0
Memorial Windscreen 430-025 0 0 0 0 (7,000)
Ponds Phase I Imp 430-028 (700,000) 0 0 0 0
Sand Point Ballfield 430-029 (10,000) 0 0 0 0
Sand Point Beach Renovation Study 430-030 (75,000) 0 0 0 0
Ryan BB Court Surface, Hoop/Stand 430-036 0 (15,000) 0 0 0
Timbercrest BB Court Surface, Hoop/Stand 430-037 0 (10,000) 0 0 0
Memorial Parking Lots (2)430-039 0 0 0 (250,000) 0
Ponds Phase II Imp 430-041 0 0 (800,000) 0 0
Ponds Playground 430-042 (350,000) 0 0 0 0
Cardinal Ridge Parking Lot 430-044 0 0 0 (45,000) 0
Grainwood Crossing Parking Lot 430-045 0 0 0 (5,000) 0
Northwood Meadows BB Court Surface 430-047 (10,000) 0 0 0 0
Crystal Lake Fishing Pier 430-049 0 0 0 0 (22,000)
Enclave BB Court Surface 430-050 0 0 0 0 (15,000)
Howard Lake BB Court Surface 430-051 0 0 0 0 (15,000)
Memorial Drinking Fountain 430-052 0 0 0 0 (12,000)
Woodridge Ballfield 430-054 0 0 0 0 (10,000)
Wilds North Playground 430-065 0 (15,000) 0 0 0
Wilds Parkway Trail 430-068 0 0 (800,000) 0 0
Misc Playground 0 0 0 (250,000) (250,000)
Total (1,155,000) (40,000) (1,600,000) (550,000) (331,000)
Other Uses
Transfer to Debt Service Funds 00 000
Total 00 000
Total Expenditures and Uses (1,155,000) (40,000) (1,600,000) (550,000) (331,000)
Change in Fund Balance (402,300) 457,000 (1,053,000) 57,000 336,000
Ending Balance 995,700 1,452,700 399,700 456,700 792,700
City of Prior Lake, Minnesota
Capital Improvement Program
2023 thru 2027
REVOLVING PARK EQUIPMENT FUND (F430)
SOURCES AND USES OF FUNDS
Capital Improvement Program
City of Prior Lake, Minnesota
PROJECTS BY CATEGORY AND DEPARTMENT
2023 2027thru
Total20232024202520262027
Department
Category
Parks: Projects
New Park Development
0 0 500,000 500,000FutureNeighborhoodParkDevelopment225-001
650,000 650,000TH13TrailTRN19-000004
650,000 0 500,000 1,150,000Sub-Total
Park Replacement
10,000 10,000WildsNorthBBCourtMaintenance430-010
7,000 7,000MemorialWindscreen430-025
700,000 700,000PONDSPHASEIIMP430-028
10,000 10,000SandPointBallfield430-029
75,000 75,000SandPointBeachRenovationStudy430-030
00WillowsPlayground430-032
00WoodridgePlayground430-033
00CardinalRidgePlayground430-034
00OaklandBeachPlayground430-035
15,000 15,000RyanBBCourtMaintenance430-036
10,000 10,000TimbercrestBBCourtMaintenance430-037
00KnobHillPlayground430-038
250,000 250,000MemorialParkingLots (2)430-039
00PondsDugouts430-040
800,000 800,000PONDSPHASEIIIMP430-041
350,000 350,000PondsPlayground430-042
45,000 45,000CardinalRidgeParkingLot430-044
5,000 5,000GrainwoodCrossingParkingLot430-045
00MemorialPlayground430-046
10,000 10,000NorthwoodMeadowsBBCourtMaintenance430-047
15,000 15,000WildsBBCourtMaintenance430-048
22,000 22,000CrystalLakeFishingPier430-049
15,000 15,000EnclaveBBCourtMaintenance430-050
15,000 15,000HowardLakeBBCourtMaintenance430-051
12,000 12,000MemorialDrinkingFountain430-052
00SandPointPlayground430-053
10,000 10,000WoodridgeBallfield430-054
800,000 800,000WildsParkwayTrail430-068
250,000 250,000 500,000MISCPLAYGROUNDPLAY
0 0 0000TrailMaintenanceTRAILS
1,155,000 40,000 1,600,000 550,000 331,000 3,676,000Sub-Total
1,805,000 40,000 1,600,000 1,050,000 331,000 4,826,000DepartmentTotal:
Tuesday, June 14, 2022Page1ProducedUsingthePlan-It Capital Planning Software
Total20232024202520262027
Department
Category
1,805,000 40,000 1,600,000 1,050,000 331,000 4,826,000GRANDTOTAL
Tuesday, June 14, 2022Page2ProducedUsingthePlan-It Capital Planning Software
2023 2024 2025 2026 2027
Facilities Management Fund (F440)
Beginning Balance 941,000 497,100 635,500 556,000 631,000
Revenues and Other Fund Sources
Revenue
Tax Levy 155,000 205,000 255,000 305,000 355,000
Tax Levy - Debt Service 0 0 360,000 0 0
G.O. Capital Improvement Bonds 0 300,000 0 1,740,000 0
Water Fund (F601) - transfer for portion of maint ctr costs 0 12,000 0 30,000 21,000
Sewer Fund (F604) - transfer for portion of maint ctr costs 0 12,000 0 30,000 21,000
MVTA 0 0 47,000 0 0
Transfer in from General Fund 0 500,000 0 0 0
Interest Earnings 14,600 6,000 6,000 6,000 6,000
Total Revenues and Other Fund Sources 169,600 1,035,000 668,000 2,111,000 403,000
Total Funds Available 1,110,600 1,532,100 1,303,500 2,667,000 1,034,000
Expenditures and Uses
Capital Projects & Equipment
City Hall (70,000)(283,500)0 (1,194,500)0
Fire Station #1 (115,500)(104,600)(147,500)0 0
Fire Station #2 (70,000)(60,000)0 (112,000)(95,000)
Library & Club Prior (125,000)(17,500)(300,000)0 (228,500)
Maintenance Center - Total Cost including water & sewer 0 (121,000)0 (301,500)(209,500)
Police Station (233,000)(310,000)(300,000)(428,000)(85,000)
Total Expenditures and Uses (613,500)(896,600)(747,500)(2,036,000)(618,000)
Change in Fund Balance (443,900)138,400 (79,500)75,000 (215,000)
Ending Balance 497,100 635,500 556,000 631,000 416,000
City of Prior Lake, Minnesota
Capital Improvement Program
2023 thru 2027
FACILITIES MANAGEMENT FUND (F440)
SOURCES AND USES OF FUNDS
Capital Improvement Program
City of Prior Lake, Minnesota
PROJECTS BY CATEGORY AND DEPARTMENT
2023 2027thru
Total20232024202520262027
Department
Category
Facilities
Facil: City Hall
70,000 70,000WallCoverings440-008
255,500 255,500MembraneRoofing440-017
393,000 393,000VavBoxes440-032
12,000 12,000GlassDoors440-034
16,500 16,500CoilingDoors440-037
281,000 281,000Carpet440-038
28,000 28,000IrrigationSystem440-081
25,000 25,000BrickWallcovering / Cherrywood Paneling 440-088
23,000 23,000ResiliantFlooring440-089
17,000 17,000TileWalls440-090
66,000 66,000BellandGossetPumps (2)440-091
23,500 23,500CabinetUnitHeater440-092
14,000 14,000GreenheckExhaust (2)440-093
145,500 145,500AirHandler (2)440-094
171,500 171,500Chiller440-095
6,500 6,500Miscellaneous440-096
70,000 283,500 1,194,500 1,548,000Sub-Total
Facil: Fire Station #1
15,500 15,500IrrigationSystem440-011
21,500 21,500WallCoverings440-018
10,000 10,000TurnoutLockers440-019
35,000 35,000Doors440-020
14,500 14,500TileWalls440-021
15,500 15,500ExhaustFan440-022
8,100 8,100Damper440-023
147,500 147,500RooftopUnit440-031
00RoomDivider / Display Case 440-085
100,000 100,000VEHICLEEXHAUSTSYSTEM440-188
115,500 104,600 147,500 367,600Sub-Total
Facil: Fire Station #2
30,000 30,000Carpet440-
012
40,000 40,000InfraredTubeHeater440-013
30,000 30,000ForcedAirFurnace (3)
440-024
112,000 112,000MembraneRoofing440-039
30,000 30,000ACUnit (3)440-086
15,000 15,000ExhaustFan (2)440-123
20,000 20,000AirExchanger440-124
60,000 60,000Make-Up Air Unit 440-125
70,000 60,000 112,000 95,000 337,000Sub-Total
Tuesday, June 14, 2022Page1ProducedUsingthePlan-It Capital Planning Software
Total20232024202520262027
Department
Category
Facil: Library & Club Prior
17,500 17,500VavBoxes440-025
300,000 300,000ParkingLots440-026
131,500 131,500HVACControlSystem440-052
97,000 97,000AirHandlingUnit - Trane 440-110
125,000 125,000REMODELPH2440-187
125,000 17,500 300,000 228,500 671,000Sub-Total
Facil: Maintenance Ctr.
40,500 40,500AutoGate440-027
80,500 80,500OverheadCrane440-028
51,500 51,500Windows - Aluminum 440-041
00RoomDivider440-042
154,000 154,000Hoists (In-Ground and Utility)440-043
209,500 209,500ConcreteFloors440-053
28,500 28,500Skylights (3)440-116
24,000 24,000Miscellaneous440-117
43,500 43,500SteelDoorsandFrames440-118
121,000 301,500 209,500 632,000Sub-Total
Facil: Police Station
310,000 310,000MembraneRoofing440-029
8,000 8,000OverheadCoilingDoor (2)440-047
13,000 13,000IrrigationSystem440-082
100,000 100,000OverheadFoldingDoor10x14440-083
300,000 300,000Parking / Safety Enhancements 440-087
40,000 40,000FrontEntrySecurityUpdate440-101
19,000 19,000BellandGossetPump440-102
14,000 14,000GreenheckExhaust (2)440-103
79,000 79,000AirHandler - McQuay 440-104
60,000 60,000ACCondenser440-105
208,000 208,000VAVBoxes440-106
85,000 85,000EpoxyFlooring440-107
120,000 120,000CARPET440-185
233,000 310,000 300,000 428,000 85,000 1,356,000Sub-Total
613,500 896,600 747,500 2,036,000 618,000 4,911,600DepartmentTotal:
613,500 896,600 747,500 2,036,000 618,000 4,911,600GRANDTOTAL
Tuesday, June 14, 2022Page2ProducedUsingthePlan-It Capital Planning Software
2023 2024 2025 2026 2027
Construction Fund (F501)
Revenues and Other Fund Sources
Revenue
G.O. Special Assessment Bonds - Project Levy 183,000 - 4,500,000 4,352,000 2,149,000
G.O. Special Assessment Bonds - Project Assessment 1,246,500 - 505,000 1,000,000 340,000
G.O. Special Assessment Bonds - Project MSA 3,108,000 - - - -
City - MSA Funds 1,355,000
County 2,473,973 - - - -
Street Oversize Fund (F503)1,514,290 - - - -
Developer Upfront Costs 394,000 - - - -
ARPA Funds 578,750 - - - -
Franchise Fees - - 300,000 1,948,000 1,151,000
City - Unidentified Funding Source 40,000 - - - -
General Fund (F101)400,000 - - - -
TIF Funds (F414)100,000 - - - -
Revolving Park Equip Funds (F430)- - 800,000 - -
Construction Fund (F501)60,000 - - - -
Water Fund (F601)581,500 - 325,000 1,150,000 650,000
Water Quality Fund (F602)- - 150,000 693,000 360,000
Sewer Fund (F604)330,000 - - 1,020,000 700,000
Total Revenues and Other Fund Sources 12,365,013 0 6,580,000 10,163,000 5,350,000
Expenditures and Uses
Capital Projects & Equipment
Streets: Transportation
Fish Point Road Phase II TRN22-000001 (5,998,000) - - - -
CSAH 21 (Revere to 170th St)TRN22-000002 (5,567,013) - - - -
Marsh St Extension TRN23-000001 (800,000) - - - -
Wilds Pkwy Reclamation TRN24-000001 - - (4,925,000) - -
Lords Street Bridge Rehab TRN24-000002 - - (300,000) - -
Martindale/Henning/Hickory Reclamation TRN24-000003 - - (1,355,000) - -
Northwood Phase 1 TRN25-000001 - - - (10,163,000) -
Northwood Phase 2 TRN26-000001 - - - - (5,350,000)
Green Heights Area TRN27-000001 - - - -
Sunset Hills Area TRN28-000001 - - - - -
Raspberry Ridge Neighborhood TRN29-000001 - - - - -
Lords Neighborhood TRN30-000001 - - - - -
Village Lake/Tower TRN31-000002 - - - - -
Total Expenditures and Uses (12,365,013)0 (6,580,000)(10,163,000)(5,350,000)
City of Prior Lake, Minnesota
Capital Improvement Program
2023 thru 2027
CONSTRUCTION FUND (F501)
SOURCES AND USES OF FUNDS
2023 2024 2025 2026 2027
Perm. Imp. Revolving Fund (F450)
Beginning Balance 1,270,000 2,251,210 285,164 285,565 258,370
Revenues and Other Fund Sources
Revenue
G.O. Special Assessment Bonds - Project Levy 0 1,046,000 0 0 705,000
G.O. Special Assessment Bonds - Overlay Assessment 0 470,000 0 0 285,000
Franchise Fees 1,068,000 1,086,000 0 0 0
Special Assessment Revenue 110,535 212,806 103,930 76,328 159,196
Transfer from Water Fund 0 1,850,000 0 0 0
Interest Earnings 5,700 33,648 4,157 4,163 3,755
Total Revenues and Other Fund Sources 1,184,235 4,698,454 108,087 80,491 1,152,951
Total Funds Available 2,454,235 6,949,664 393,251 366,056 1,411,321
Expenditures and Uses
Capital Projects & Equipment
Streets: Overlay
Wilds / Jeffers Mill and Overlay PIR24-000001 0 (6,570,000) 0 0 0
Northwoods Phase 2 Mill and Overlay PIR27-000001 0 0 0 0 (990,000)
Total 0 (6,570,000) 0 0 (990,000)
Other Uses
Transfer to Debt Service Funds (203,025) (94,500) (107,686) (107,686) (107,686)
Total (203,025) (94,500) (107,686) (107,686) (107,686)
Total Expenditures and Uses (203,025) (6,664,500) (107,686) (107,686) (1,097,686)
Change in Fund Balance 981,210 (1,966,046) 401 (27,195) 55,265
Ending Balance 2,251,210 285,164 285,565 258,370 313,635
City of Prior Lake, Minnesota
Capital Improvement Program
2023 thru 2027
PERMANENT IMPROVEMENT REVOLVING FUND (F450)
SOURCES AND USES OF FUNDS
CITY COUNCIL AGENDA REPORT
MEETING DATE:
PREPARED BY:
PRESENTED BY:
AGENDA ITEM:
GOAL AREA
OBJECTIVE:
July 18, 2022
Heidi Simon, City Clerk
Heidi Simon
Approval of the June 20, 2022 City Council Minutes
High-Value City Services
6.Seek community engagement through a variety of
communication methods to reach all residents.
RECOMMENDED ACTION:
Approval of the June 20, 2022 City Council Minutes as presented.
ALTERNATIVES:
ITEM: 4A
1.Motion and second to approve the June 20, 2022 City Council Minutes as presented.
2.Motion and second to revise the June 20, 2022 City Council Minutes.
ATTACHMENTS:
1.06 20 2022 City Council Minutes
City of Prior Lake I 4646 Dakota Street SE I Prior Lake MN 55372
CITY COUNCIL AGENDA REPORT
MEETING DATE:
PREPARED BY:
PRESENTED BY:
AGENDA ITEM:
GOAL AREA
OBJECTIVE:
July 18, 2022
Janet Ringberg, Accounting Specialist
Cathy Ericksonson, Finance Director
Approval of Claims Listing
High-Value City Services
1.Establish financial stability for all funds.
RECOMMENDED ACTION:
Adopt claims listing as presented.
BACKGROUND:
ITEM: SA
The current claims listing is a check register which includes a chronological listing of payments
issued (check, EFT, ACH, and wires) with the associated vendor and description of the claim
paid. The option to include a general ledger account number is not available with this report.
Date
6/13/2022
6/15/2022
6/16/2022
6/17/2022
6/21/2022
6/22/2022
6/23/2022
6/27/2022
6/28/2022
6/30/2022
7/1/2022
7/5/2022
7/6/2022
7/7/2022
7/8/2022
Payments Issued 6/11/2022-7/8/2022
Checks ACH EFT
2,151.61
1,064.13
58,459.11 68,599.73
964.93
8,001,739.57
22,816.43
169,793.05 91,810.95 87,227.33
1,524.78
10,027.04
39,777.82
112,381.89 25,055.19
22.05
2,289.82
5,856.38
189,533.40 205,977.66 1,488,478.71
530,167.45 391,443.53 9,663,940.60
Total ,. 2,151.61
1,064.13
127,058.84 ., 964.93
8,001,739.57 ,. 22,816.43
348,831.33
1,524.78 ,. 10,027.04
39,777.82 ,. 137,437.08 ., 22.05
2,289.82 ,. 5,856.38
1,883,989.77
10,585,551.58
At the request of the Council and City Manager we have included the payroll paid, by department,
for the previous month. We are providing the information in the same format as the quarterly
expenditure financial reporting and will provide it on a monthly basis. As a reminder, the city pays
wages two weeks in arrears and some pay is seasonal and overtime.
City of Prior Lake I 4646 Dakota Street SE I Prior Lake MN 55372
CHECK REGISTER FOR CITY OF PRIOR LAKE 1/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
Bank 1 General Bank
2,151.612022DentalClaimsDELTADENTAL000272138669(E)106/13/2022
1,064.13Jun2022ElectricBillsSHAKOPEEPUBLICUTILITIES000193888670(E)106/15/2022
380.00Dakota & EvanstonIntersectionControlEBOLTON & MENKINC000026378671(A)106/16/2022
12,547.00WildsLiftStationRehab
17,176.452021DowntownReconstruction
304.00MesenbrinkSWPPPInspection
1,873.00ParkwoodEstatesDevelopment
1,468.00SpringviewMeadows
33,748.45
8,570.94May2022GeneralMattersCAMPBELLKNUTSONPA000280438672(A)106/16/2022
346.50May2022CodeEnforcementLitigation
270.00May2022AT&T Tower St Reinstall
270.00May2022AT&T at Cedarwood
120.00May2022VerizonatTowerStGeneratorS
9,577.44
10.54CardStockINNOVATIVEOFFICESOLUTIONSLLC000271498673(A)106/16/2022
561.96Toner
572.50
259.45FloorcleaningsuppliesM/AASSOCIATESINC000130088674(A)106/16/2022
3,154.10SACLoanDeferralMETROPOLITANCOUNCIL000134008675(A)106/16/2022
391.97503RimMTIDISTRIBUTINGINC000139518676(A)106/16/2022
295.16May2022RepairPartsO'REILLYAUTOPARTS000150888677(A)106/16/2022
43.97TowRingRIGIDHITCHINC000184758678(A)106/16/2022
110.94479Trailerparts
10.97Tie-Down Ring
102.97)Coupler
62.91
5,427.00TRN20-000001 Fish PtRoadEngSvcsWSB & ASSOCIATESINC000237808679(A)106/16/2022
420.00MarkleyLakeMonitoring
1,236.00PavementManagementProgram
430.00Kiehm170thStreetReplacementPlanRevi
154.50MushtownRoad – 180th Street Watermain E
2,584.75Project2021-13, Timbercrest Trail
72.50KiehmStorage
1,671.75ReverePlace
3,030.00GeneralEngineeringSupport
265.002021-2022 Municipal State Aid Street Sys
1,031.50JeffersPond - Outlot C - First Addition
3,107.25SpringLakeRidge
897.50PreserveatJeffersPond
145.00PLLuxuryApartments
20,472.75
65.00FS #1PestControlXTREMEPESTSOLUTIONSINC000271168680(A)106/16/2022
141.93May2022FuelTaxMNDEPTOFREVENUE000136128681(E)106/17/2022
823.00May2022SalesTax
CHECK REGISTER FOR CITY OF PRIOR LAKE 2/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
964.93
1,159.29May2022AdminFeesDELTADENTAL000272138683(E)106/22/2022
1,230.992022DentalClaims
2,390.28
20,426.15Jun2022ElectricBillsMNVALLEYELECTRIC000137388684(E)106/22/2022
70.00May2022COBRAAdminFeeALERUS000013758685(E)106/21/2022
8,000,000.00TransfertoLeague4MFundLEAGUE4MFUND000124338686(E)106/21/2022
1,669.57Jun2022PhoneBillsNUVERA000193048687(E)106/21/2022
971.44AnnualCampressorAirQualityTestALEXAIRAPPARATUSINC000013298688(A)106/23/2022
1,059.29AnnualCompressorAirQualityTest
2,030.73
550.00450AccidentrepairtowingALLEN'SSERVICEINC000013608689(A)106/23/2022
379.03PlantsBACHMAN'SINC000020358690(A)106/23/2022
684.00SuiteLivingofPriorLakeBOLTON & MENKINC000026378691(A)106/23/2022
532.00Lil' Explorers-Fountain Hills
1,216.00
6,500.00RemovalofTrees - CityHallCOLLINSTREE000036708692(A)106/23/2022
1,125.00Jul2022CITManagedBackupCOMPUTERINTEGRATIONTECH000037608693(A)106/23/2022
1,740.00ITSupport
2,865.00
71.37PushBrooms/Floor Dry Buckets/LidsDAVIDAHMANN000271438694(A)106/23/2022
145.66PartsFASTENALCOMPANY000061408695(A)106/23/2022
285.40CableTie
431.06
20,021.14WaterTreatmentChemicalsHAWKINSINC000083128696(A)106/23/2022
553.06 #10EnvelopesINNOVATIVEOFFICESOLUTIONSLLC000271498697(A)106/23/2022
66.99Toner
20.53Roach - Name Plate
16.03Pens, Post It Notes
656.61
150.00SafetyBoots2022JACOBWAGNER000280698698(A)106/23/2022
125.75GunCleaningSuppliesJONATHANCASSMAN000271048699(A)106/23/2022
16,533.60May2022UnleadedKELLEYFUELSINC000112198700(A)106/23/2022
11,751.45May2022Diesel
28,285.05
1,500.00AT&T Tower St A2122-000001InitialRevieKLMENGINEERINGINC000115208701(A)106/23/2022
130.00SCBAExam, QuantitativeFitTestMED-COMPASSINC000133068702(A)106/23/2022
847.72RepairRicohC4504METROSALESINCORPORATED000133868703(A)106/23/2022
7,440.002021YEAuditMMKR & CO000137498704(A)106/23/2022
68.79PartsMTIDISTRIBUTINGINC000139518705(A)106/23/2022
554.30PaperSuppliesNETWORKSERVICESCOMPANY000143818706(A)106/23/2022
10.60HydranttoolrepairNOVAKCOMPANIES000149008707(A)106/23/2022
390.15RockPENTAGONMATERIALSINC000274268708(A)106/23/2022
5,565.00FieldStripingPaintPIONEERATHLETICS000163708709(A)106/23/2022
CHECK REGISTER FOR CITY OF PRIOR LAKE 3/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
76.50CameraUpdatesPRO-TECDESIGNINC000274298710(A)106/23/2022
389.67503MowertiresROYALTIREINC000187328711(A)106/23/2022
556.16Investigate & Repair Roof Leak - WTFSCHWICKERT'STECTAAMERICALLC000279118712(A)106/23/2022
2,837.00ContractInspection - City Hall
3,393.16
285.60E. ColiTestingUCLABORATORY000212358713(A)106/23/2022
218.14SimpleGreenULINE000212508714(A)106/23/2022
203.27PartsVIKINGELECTRICSUPPLY000226308715(A)106/23/2022
1,143.98Parts
267.30GFI
278.39Parts
1,892.94
372.00AsphaltWMMUELLER & SONSINC000236458716(A)106/23/2022
1,062.99Sand
1,434.99
72.25756repairWOLFMOTORCOINC000236758717(A)106/23/2022
381.13450Accidentrepair
220.94450Accidentrepair
179.29544Frontendrepair
129.44450accidentparts
63.63450accidentparts
8.30450accidentparts
63.63)450 accident parts return
583.70)450 accident parts return
407.65
129.00MiniStorageWCAReplacementPlanReviewWSB & ASSOCIATESINC000237808718(A)106/23/2022
129.00VallezPropertyWCAReview
413.50LakefrontDevelopmentWCAReview
2,068.002022Misc. Sidewalk Improvements
1,184.50TH13TrailPlanningAnalysis
3,924.00
87,227.33Jul2022HealthInsurancePremiumsMNPEIP000279098719(E)106/23/2022
1,524.782022DentalClaimsDELTADENTAL000272138720(E)106/27/2022
360.00Jun2022HSAAdminFeesALERUS000013758721(E)106/28/2022
9,667.04Jun2022NaturalGasBillsCENTERPOINTENERGY000135708722(E)106/28/2022
9,888.30AnnualMaintenance & RepairsAUTOMATEDDOORSERVICEINC000274198723(A)107/01/2022
703.502022CarpetCleaning - LibraryCOMMERCIALSTEAMTEAM000037258724(A)107/01/2022
2,498.00Jun2022Office365COMPUTERINTEGRATIONTECH000037608725(A)107/01/2022
72.58TonerINNOVATIVEOFFICESOLUTIONSLLC000271498726(A)107/01/2022
41.16PCNamePlates
304.96 #10 Envelopes
165.72Toner
584.42
171.11PartsMTIDISTRIBUTINGINC000139518727(A)107/01/2022
4,120.00Apr, May 2022 Labor & EmploymentNILANJOHNSONLEWIS000081238728(A)107/01/2022
CHECK REGISTER FOR CITY OF PRIOR LAKE 4/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
726.00InspectionRepairs - FS#1SCHWICKERT'STECTAAMERICALLC000279118729(A)107/01/2022
320.00InspectionRepairs - Library
320.00RoofingRepair - PD
1,000.002022RoofRepairs - WTF
295.002022RoofRepairs - Lakeside Eats
325.002022RoofRepairs - Summit Booster Stati
2,986.00
1,820.00TIFAnnualMaintenanceFeesSCOTTCOUNTY000192128730(A)107/01/2022
662.73PartsVIKINGELECTRICSUPPLY000226308731(A)107/01/2022
37.75Parts
74.58HoleSawKit
54.51SnapStrap
434.08Parts
1,263.65
377.58AsphaltWMMUELLER & SONSINC000236458732(A)107/01/2022
642.63Asphalt
1,020.21
1,981.902022DentalClaimsDELTADENTAL000272138733(E)107/06/2022
307.92JuL2022VisionPremiumsEYEMED000279178734(E)107/06/2022
22.05Jun2022MerchantFeesAUTHORIZE.NET000268218735(E)107/05/2022
2,400.00Jun2022AnimalControl4PAWSANIMALCONTROLLLC000067988736(A)107/08/2022
150.93MileageALEXANDERBRAUN000281858737(A)107/08/2022
792.50IntersectionControlEvalBOLTON & MENKINC000026378738(A)107/08/2022
2,187.37Jun2022MiscSuppliesCARLSONHARDWARECOMPANY000031258739(A)107/08/2022
2,880.00ITSupportCOMPUTERINTEGRATIONTECH000037608740(A)107/08/2022
7,352.00Jul2022CleaningCOVERALL000275718741(A)107/08/2022
250.81CableTieFASTENALCOMPANY000061408742(A)107/08/2022
87.10Olson - Shirt, PatchesGALLSLLC000070758743(A)107/08/2022
46.03450DecalsaccidentrepairGRAFIXSHOPPE000076158744(A)107/08/2022
60.26Apr - Jun2022MileageHEIDISIMON000281838745(A)107/08/2022
674.63SummitRidgeParkConcept & StakeholderHOISINGTONKOEGLERGROUPINC000087308746(A)107/08/2022
1,875.00Ponds & Memorial Park Improvements
6,802.00LakefrontPark - Watzl's Beach Master Pl
1,035.00HowardLakeParkConcept
10,386.63
1,138.36Jun2022UniformsHUEBSCH000275368747(A)107/08/2022
12,263.80OfficercubiclesINNOVATIVEOFFICESOLUTIONSLLC000271498748(A)107/08/2022
240.48Toner
21.56PhoneMessageLog
12,525.84
14.63May - Jun2022MileageJESSICAERICKSON000281828749(A)107/08/2022
3,430.60BulkoilKATHFUELOILSERVICE000024108750(A)107/08/2022
761.37DieselExhaustFluid
4,191.97
152,056.76Jul2022WasteWaterServiceMETROPOLITANCOUNCIL000134008751(A)107/08/2022
820.00Thompson - Pre-employmentTestingMNOCCUPATIONALHEALTH000270998752(A)107/08/2022
1,598.00EMTCertificationNICHOLASHAUGEN000274808753(A)107/08/2022
80.729221AluminumbracketholdersNOVAKCOMPANIES000149008754(A)107/08/2022
CHECK REGISTER FOR CITY OF PRIOR LAKE 5/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
1,255.47Jun2022RepairPartsO'REILLYAUTOPARTS000150888755(A)107/08/2022
1,598.00EMTCertificationPATRICKROSE000281898756(A)107/08/2022
76.50KeycardRepairsPRO-TECDESIGNINC000274298757(A)107/08/2022
280.50MilstoneSoftwareUpgrade
357.00
172.88524ReartiresROYALTIREINC000187328758(A)107/08/2022
155.93DenmarkRetirementSTEVENFRAZER000281908759(A)107/08/2022
119.973rdQtr2022BottledWaterWATERLOGICAMERICASLLC000275838760(A)107/08/2022
368.28AsphaltWMMUELLER & SONSINC000236458761(A)107/08/2022
747.72Asphalt
372.93Asphalt
371.07Asphalt
459.42Asphalt
2,319.42
64.627102LockcylinderWOLFMOTORCOINC000236758762(A)107/08/2022
149.14450accidentrepair
49.35450accidentrepair
533.40547Controlmodule
30.47450ABSSensor
826.98
152.10781CabinfiltersZIEGLERINC000265008763(A)107/08/2022
5,856.382ndQtr2022StateSurchargeMNDEPTOFLABOR & INDUSTRY000138018764(E)107/07/2022
39,777.82Jun2022ElectricBillsXCELENERGY000147208765(E)106/30/2022
1,488,478.71TransfertoLeague4MFundLEAGUE4MFUND000124338766(E)107/08/2022
456.006/20/2022BoatCruiseAL & ALMA'SSUPPERCLUB00027415110282106/16/2022
33.25BackgroundCheckBCA/STATEOFMINNESOTA00002933110283106/16/2022
14.75RevSportsRefundJACLYNREBMANREFUND-REC110284106/16/2022
49.21Arts & Culture - Somethin' AboutaTruckJEANBIGALKREFUND-MSC110285106/16/2022
376.64Arts & Culture - Somethin' AboutaTruckMARIEHOESEREFUND-MSC110286106/16/2022
197.33526PTOSolenoidMIDWESTMACHINERYCO00028113110287106/16/2022
18.00CreditChecksMULTIHOUSINGCREDITCONTROL00013968110288106/16/2022
36.00CreditChecks
54.00
531.49May2022RepairPartsNAPAAUTOPARTS00014060110289106/16/2022
21.41TobaccoCompliancePETTYCASH00016300110290106/16/2022
85.35510SharpeningKnivesPOWERPLAN00022435110291106/16/2022
460.61MiscSuppliesSAM'SCLUB00019036110292106/16/2022
2,226.21MarkleyLakeWaterMonitoringSCOTTSOIL & WATERCONSERVDIST00019305110293106/16/2022
200.95Arts & Culture - Somethin' AboutaTruckSHANNONHOFFMANNREFUND-MSC110294106/16/2022
32,157.502022WaterPurchasesSMSC00019384110295106/16/2022
947.86Braun - InitialUniformSTREICHERS00019900110296106/16/2022
509.99Vest
32.00SgtBadge
259.97Holsters
2,113.00Rifle, Suppressor
187.98Polos
27.00Dean - Badge
232.99Dean - Initial Uniform
4,310.79
CHECK REGISTER FOR CITY OF PRIOR LAKE 6/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
306.00GPSLocateT-MOBILE00026962110297106/16/2022
29.12Water & IceUSBANK00002105110298106/16/2022
23.97Cookies - Twp/ISD #719 Meeting
59.93Meetingw/JW,KB, ZB
123.32Meetingw/JW, KB & County
154.80Wedel - City Manager's Conference
122.50Wedel - Cert Renewal
51.61Meetingw/JW,KB,KB
122.50Monserud - Certifcate Renewal
67.67Donuts - Employee Recognition
488.18BoxLunches - High School Tour
74.488iPhoneChargers
44.03PDTVSoundbar
24.98iPhoneCase
749.00HPLaserjetMFP
97.58CommunicationsStrategyLunch
156.00Schroeder - Annual Membership
1,050.00ITDeployment & Inventory Software
75.00Schaefer - DMT-G Recert
375.00Zapata - CSI Training
336.00TrainingPolos
322.13HandgunParts
48.849mmTrainingRounds
167.75Lunch - Dept Training
25.00TrailCameraSubscription
160.96Erickson - Annual License
26.84ElectionSupplyBins
19.82CashBox
34.33LuggageTags
22.15PrinterLabels
28.50ElectronicScreenWipes
41.69PrecinctFileFolders
27.26Nameplate
475.20Heinzmann - Conference Airfair
20.73AxonConferenceTransportation
33.34AxonConferenceTransportation
45.58AxonConferenceTransportation
101.97Headphones
159.90TrafficWands
649.00Bisek - Conference
649.00Heinzmann - Conference
0.9950GBiCloudStorage
32.76Donuts - PW Workshop
273.50ConstZoneObstacleCourse
747.12510ChipperBrakeParts
46.85PhoneChargers
137.62Toner, Packing Tape
53.98VacuumFilters
41.30BasketballNetting
213.98NutoneFans
29.99MotorolaRadios
159.22OpenHouse - Staff Dinner
106.00BathroomStallDoorHinges
435.94DefibrillatorPads
445.18Copies - PW Operating Standards
32.18TargetFaces - Archery Camp
189.28DodgeBalls
6.29Ice - Music in the Park
11.80BeanBagLeagueMallet
CHECK REGISTER FOR CITY OF PRIOR LAKE 7/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
431.02MuddyBuddyInflatables
32.98YouthProgramSupplies
165.06YouthProgramSupplies
9.69YouthProgramSupplies
34.28MuddyBuddySupplies
5.10YouthCampAd
130.56BeachPartyHairSpray
331.45CampCrafts
217.36BeachPartyCrafts
5.58Ice - Muddy Buddy Run
128.59ArcheryCampArrows
23.28ClubPriorGardenSupplies
82.15WellnessWednesday
41.00Young - Notary Filing Fee
1,500.00MySeniorCenter2022SoftwareLicense
34.35FlagDayPins
112.24Lunch - FAO Final Clas
71.78Lunch - Hose Testing
29.95Headlamp
431.02)Refund - Muddy Buddy Inflatables
450.00)Refund - Adelmann Peer Support Class
217.42)Refund - Event Signs
12,537.62
4,440.00PDSchedulingSoftwareVISUALCOMPUTERSOLUTIONSINC00028170110299106/16/2022
192.28RadioStrapsASPENMILLS00001891110300106/23/2022
538.51AsphaltMixCITYOFSTPAUL00003521110301106/23/2022
4,135.95AsphaltCOMMERCIALASPHALTCO00003710110302106/23/2022
500.00Zapata, Ademmann - EVOLTrainingDAKOTACTYTECHCOLLEGE00004050110303106/23/2022
250.00O'Donnell - EVOL Training
500.00Perboom, Steinhaus - EVOL Training
500.00Denmark, Freiberg - EVOL Training
250.00Cassman - EVOL Training
2,000.00
450.50StreetSweepingsDEM-CONLANDFILLLLC00004360110304106/23/2022
37.00Title - #922012226DEPUTYREGISTRAR #16000004400110305106/23/2022
37.00Title - #922113031DEPUTYREGISTRAR #16000004400110306106/23/2022
2,276.40LadderL-9280ServiceCallEMERGENCYAPPARATUSMAINT00005475110307106/23/2022
526.14EngineE-9220 NFPA Pump Test
537.64EngineE-9221 NFPA Pump Test
597.64EngineE-9222 NFPA Pump Test
3,937.82
2,459.60WaterMetersFERGUSONWATERWORKS #251600006231110308106/23/2022
1,247.74WaterMeters
402.79DrainPlunger
347.28)Water Meters
3,762.85
2,500.0020-0486 15733RidgemontAvenueSEFIELDSTONEFAMILYHOMESMISC-CD110309106/23/2022
45.00ScreenedBlackDirtGALLAGHER'SINC00007078110310106/23/2022
2,500.0021-0154 14132McKennaRoadNWGEROLDBROSCONSTMISC-CD110311106/23/2022
676.28StocksquadtiresGOODYEARCOMMERCIALTIRE00007510110312106/23/2022
867.70VFDDriveRepair - Pump #1HAYESELECTRICINC00008315110313106/23/2022
CHECK REGISTER FOR CITY OF PRIOR LAKE 8/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
415.96Repair150thLiftStation, Test Wilds Bo
601.50FountainPumpRepair - Little Prior
789.20ElectricalRepairatWTF
415.70RelocateRecLightFixtures - CH
3,090.06
140.00StrawBales - MuddyBuddyRunJOEKORBEL00028168110314106/23/2022
100.00WaterEffficiencyRebateJOHNANDERSONREFUND-MSC110315106/23/2022
111.049222FrontslackadjustersLARSONCOMPANIES00012320110316106/23/2022
100.00WaterEfficiencyRebateLORI & BRETCOHNREFUND-MSC110317106/23/2022
3,841.00MilwaukeeSuperVacMACQUEENEMERGENCY00027901110318106/23/2022
233.26784Shiftsolenoid
35.57784Pressuregauge
4,109.83
2,316.08TrashLinersMARSSUPPLY00027801110319106/23/2022
353.78TrashLiners
2,669.86
135.00Apr/May2022YogaInstructorMARYMULLETT00028172110320106/23/2022
51.92BlackFenceTiesforChainLinkMENARDSLUMBERCO00013318110321106/23/2022
661.84Supplies
713.76
1,487.00AccessibleSwingSeatsMIDWESTPLAYSCAPESINC00026967110322106/23/2022
565.55Bus - Al & Alma'sTripMNCOACHESINC00027333110323106/23/2022
1,740.0012FireApparatusOperatorCertExamsMNFIRESERVICECERTIFICATIONBOARD00013630110324106/23/2022
825.005LEDMonitorsNOWMICROINC00027966110325106/23/2022
1,750.00FireStation #1RemodelOERTELARCHITECTS00015155110326106/23/2022
87.15InterpreterServicesOFFICEOFMNITSERVICES00004396110327106/23/2022
2,500.0021-1026 3413ReedWaySWONETENTENHOMESMISC-CD110328106/23/2022
13,429.00PlazaGates & CanopyReplacementPETERSONCOMPANIESINC00027860110329106/23/2022
216.00PostageMeter4/11/2022 - 7/10/2022PITNEYBOWES00016400110330106/23/2022
2,500.0017-1492 14104MeadowlawnTrailNEPULTEHOMESOFMINNESOTAMISC-CD110331106/23/2022
2,500.0020-1317 14202 Epperson Circle NE
2,500.0020-1538 14342 Ferndale Avenue NE
2,500.0020-1575 14224 Epperson Circle NE
10,000.00
8,788.9322-0978 13869LakePointRdROBERTTHOMASHOMESINCMISC-CD110332106/23/2022
1,600.00WoodchipsROCKHARDLANDSCAPESUPPLY00018571110333106/23/2022
536.85SignsSAFETYSIGNS00019024110334106/23/2022
39,018.702022LongLinePaintingSIRLINES-A-LOT00019531110335106/23/2022
834.00VerizonCellModemModuleSITEONELANDSCAPESUPPLY00027716110336106/23/2022
119.80PointedStakes - MusicFestSIWEKLUMBER & MILLWORKINC00019538110337106/23/2022
58.75May2022OrganicsRecyclingSMSC00019384110338106/23/2022
695.00WeaponLightsSTREICHERS00019900110339106/23/2022
630.00DougleMagazinePouches
4,020.00HolstersandMagpouches
284.00HolstersandMagpouches
2,261.00HolstersandMagpouches
434.97WeaponLights
579.96WeaponLights
144.99WeaponLight
CHECK REGISTER FOR CITY OF PRIOR LAKE 9/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
9,049.92
988.00WindowCleaning - PDSUBZEROSERVICES00028171110340106/23/2022
1,300.00WindowCleaning - FS#1
1,428.00WindowCleaning - Library
1,419.00WindowCleaning - MC
1,900.00WindowCleaning - FS#2
7,035.00
102.00WindowCleaning - WTFSUBZEROSERVICES00028171110341106/23/2022
2,500.0017-1980 14239 ShadyBeachDriveNESUSTAINABLE9DESIGN & BUILDMISC-CD110342106/23/2022
49.20Jun2022PhoneBillT-MOBILE00026962110343106/23/2022
23,740.00Well #4 Service - VHSPumpReplacementTRAUTCOMPANIES00020705110344106/23/2022
2,950.00GraffitiRemoval - SandpointBeachTWINCITIESGRAFFITIREMOVAL00028174110345106/23/2022
280.00PlaygroundPartsULTIMATEPLAYGROUNDSINC00021254110346106/23/2022
5,000.0018-1686 14942LoriRoadSEVOEHLEXCAVATINGMISC-CD110347106/23/2022
139.96RazorbackShovelZACKSINCORPORATED00026100110348106/23/2022
665.00DowntownSouth - 4500ColoradoStXCELENERGY00014720110349106/23/2022
730.00DowntownSouth - 4528 Colorado St
827.50DowntownSouth - 4556 Colorado St
1,185.00DowntownSouth - 4540 Colorado St
3,407.50
298.00BatteriesANCOMCOMMUNICATIONSINC00001654110350107/01/2022
1,465.00InstallClass2PublicAddressAmplifierANCOMTECHNICALCENTER00001655110351107/01/2022
75.00MailboxReplacementANDREAGELHARREFMAILB110352107/01/2022
1,373.80BoosterStation & WellServiceAUTOMATICSYSTEMSCO00001975110353107/01/2022
13,824.002022HydrantPaintingB&BCOMMERCIALCOATINGLLC00027672110354107/01/2022
418.98BreathsaverBagBOUNDTREEMEDICALLLC00002695110355107/01/2022
1,033.95AsphaltMixCITYOFSTPAUL00003521110356107/01/2022
1,750.00ExteriorPainting - 15200WildsCRCUSTOMPAINTINGLLC00027459110357107/01/2022
1,750.00ExteriorPainting - 4225 Carriage Hill P
1,750.00ExteriorPainting - 15060 Green Oaks Trl
5,250.00
250.00Dean - EVOLTrainingDAKOTACTYTECHCOLLEGE00004050110358107/01/2022
500.00Kelm, Beehler - EVOL Training
750.00
125.00Simon - IntrotoDataPracticesDATAPRACTICESOFFICE00027547110359107/01/2022
10.00AnnualMaintenanceFeeDATAWORKSPLUSLLC00028017110360107/01/2022
5,521.77LadderL-9280 Pump Repair, TestEMERGENCYAPPARATUSMAINT00005475110361107/01/2022
1,166.13LadderL-9280 Repair
6,687.90
1,358.50WaterMetersFERGUSONWATERWORKS #251600006231110362107/01/2022
1,108.46WaterMeters
339.48WaterMeters
3,735.52WaterMeters
459.00WaterMeters
194.95WaterMeters
5,912.42WaterMeters
13,108.33
CHECK REGISTER FOR CITY OF PRIOR LAKE 10/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
432.00LandscapeMixGALLAGHER'SINC00007078110363107/01/2022
2,853.21PlaygroundPartsGAMETIME00007082110364107/01/2022
513.90MCCCenterReplacement - WTFHAYESELECTRICINC00008315110365107/01/2022
1,297.80BandshellPowerPanelRepair - Lakefront
1,811.70
50.00ActuarialAuditRequestHILDIINC00026911110366107/01/2022
10,757.22450AccidentrepairsKREMERSERVICESLLC00011800110367107/01/2022
234.57SuppliesMENARDSLUMBERCO00013318110368107/01/2022
12,500.00LegislativeRepresentationMESSERLI & KRAMER00027771110369107/01/2022
5,544.70StreetLight - Dakota & MainMOUNTAINSTATESLIGHTING00013938110370107/01/2022
5,597.28EABInjectionsRAINBOWTREECARE00018150110371107/01/2022
1,594.672500103002022PropertyTaxesSCOTTCOUNTY00019212110372107/01/2022
3,078.00Jul2022PortableToilets & SpecialCleaSPECIALIZEDSANITATION00019703110373107/01/2022
6,000.00WindowCleaning - CHSUBZEROSERVICES00028171110374107/01/2022
14,003.60PoliceDepartmentTrainingAmmofor2022SUNSETLAWENFORCEMENT00027867110375107/01/2022
1,500.00GraffitiRemoval - SandpointBeachTWINCITIESGRAFFITIREMOVAL00028174110376107/01/2022
209.98Pop-UpTowelZACKSINCORPORATED00026100110377107/01/2022
1,795.002022Subscription - ManageEngineZOHOCORPORATION00028124110378107/01/2022
90.00Jun2022YogaInstructorASHLEYBITZAN00028004110379107/08/2022
533.31FirstAidSuppliesBOUNDTREEMEDICALLLC00002695110380107/08/2022
661.10UBrefundforaccount: 10210502BUSCHMARK & MEGANREFUND-UB110381107/08/2022
140.71Jun2022BottledWaterCULLIGANBOTTLEDWATER00003958110382107/08/2022
75.649222Lens & LightCUSTOMFIREAPPARATUSINC00003990110383107/08/2022
895.449222AutoCharger
16.05Freight - 9216 Auto air eject
987.13
6,960.00EasementPropertyAcquisitionDEGPROPERTIES4LLC00028187110384107/08/2022
97.50WaterEfficiencyRebateDENNISKONGREFUND-MSC110385107/08/2022
29.75Tabs - 2022 Lincoln #824612DEPUTYREGISTRAR #16000004400110386107/08/2022
4,668.47Jun2022RefuseDICK'SSANITATIONINC00027918110387107/08/2022
981.22WireRopeGAMETIME00007082110388107/08/2022
118.80MarkingPaintGERTENS00007265110389107/08/2022
24.00Jul2022GoToMeetingLicenseGOTOTECHNOLOGIESUSAINC00026895110390107/08/2022
925.00PWTeamFacilitatorINNOVATIVEGROWTHLLC00028144110391107/08/2022
4,640.00EasementPropertyAcquisitionJAMESSEXE00028186110392107/08/2022
393.57HolmatroTool, BagJEFFERSONFIRE & SAFETYINC00010359110393107/08/2022
1,450.00Foam
1,843.57
2,059.31CSAH21UnderpassConceptKLJENGINEERINGLLC00028068110394107/08/2022
104,599.003rdQtr2022WCLEAGUEMNCITIESINSTRUS00012435110395107/08/2022
240.90TireRecyclingLIBERTYTIRERECYCLINGLLC00012628110396107/08/2022
100.00WaterEfficiencyRebateMATTHEWHACKETTREFUND-MSC110397107/08/2022
100.00WaterEfficiencyRebateMAUREENKOHLENBERGERREFUND-MSC110398107/08/2022
334.92PartsMENARDSLUMBERCO00013318110399107/08/2022
7,380.45Jun2022SACChargesMETROPOLITANCOUNCIL-SAC00013406110400107/08/2022
752.62526HourmeterMIDWESTMACHINERYCO00028113110401107/08/2022
88.50WaterEfficiencyRebateMITCHELLGWIDTREFUND-MSC110402107/08/2022
94.40LumberMONNENSSUPPLYINC00013909110403107/08/2022
669.40Lumber
26.00Lumber
789.80
CHECK REGISTER FOR CITY OF PRIOR LAKE 11/11Page: 07/11/2022 08:59 AM
User: Janet
DB: Prior Lake
CHECK DATE FROM 06/11/2022 - 07/08/2022
AmountDescriptionVendorNameVendorCheckBankCheckDate
38.98Jun2022RepairParts - FDNAPAAUTOPARTS00014060110404107/08/2022
24,200.00CommunitySurveyPOLCO00028177110405107/08/2022
7,280.00Emergencysirenannaulmaint. & installREADYWATTELECTRIC00018235110406107/08/2022
8,025.00Emergencysirenannaulmaint. & install
15,305.00
100.00WaterEfficiencyRebateSTEVE & BRENDAFLATTUMREFUND-MSC110407107/08/2022
135.95WeedwhiprepairTIM'S SMALLENGINEREPAIRINC00020510110408107/08/2022
689.18ChainwheelAssemblyTOWMASTER00020659110409107/08/2022
1,750.00Jul2022LineMarkingRentalTURFWERKSINC00020929110410107/08/2022
573.64SpringsULTIMATEPLAYGROUNDSINC00021254110411107/08/2022
1,110.00DolphinSpringer
1,683.64
5,810.35Jul2022CellPhoneBillsVERIZONWIRELESS00001315110412107/08/2022
55.00Jul2022ShreddingServiceVETERANSHREDDINGLLC00027643110413107/08/2022
224.76Jun2022ClearLawEnforcementPlusWESTPAYMENTCENTER00023420110414107/08/2022
109.42Hooks & TransportChainZACKSINCORPORATED00026100110415107/08/2022
184.50Wheelbarrow
100.56MarkingPaint
394.48
1 TOTALS:
10,585,551.58Totalof231Disbursements:
0.00Less0VoidChecks:
10,585,551.58Totalof231Checks:
CITY COUNCIL AGENDA REPORT
MEETING DATE:
PREPARED BY:
PRESENTED BY:
AGENDA ITEM:
July 18, 2022
Heidi Simon, City Clerk
Heidi Simon
June 2022 Building Permit Report
Desirable & Sustainable Development
ITEM: SB
GOAL AREA
OBJECTIVE: 4.Encourage development and preservation of quality life-cycle
residential housing options.
RECOMMENDED ACTION:
Approval of the June Building Permit Report as presented.
ALTERNATIVES:
1.Motion and second as part of the consent agenda to approve the June Building Permit
Report.
2.Motion and second to remove this items from the from the consent agenda for additional
discussion.
ATTACHMENTS:
1.BUILDING PERMIT REPORT 06-2022
City of Prior Lake I 4646 Dakota Street SE I Prior Lake MN 55372
Number of Permits Declared Value Number of Permits Declared Value
Single Family Dwellings 5 $2,595,613.00 10 $4,025,852.00
Townhouses (# units) 0 $0.00 0 $0.00
Multiple Units 0 $0.00 0 $0.00
New
Commercial
Industrial & Commercial 0 $0.00 1 $2,300,000.00
Residential 124 $1,920,381.71 231 $2,778,232.39
Industrial & Commercial 2 $40,000.00 4 $129,500.00
Mechanical 72 135 $0.00
Mechanical (SF&TH)20 40 $0.00
TOTALS 223 $4,555,994.71 421 $9,233,584.39
Number of Permits Declared Value Number of Permits Declared Value
Single Family Dwellings 60 $24,701,194.50 76 $29,697,719.00
Townhouses (# units) 0 $0.00 0 $0.00
Multiple Units 0 $0.00 0 $0.00
New
Commercial
Industrial & Commercial 0 $0.00 4 $3,814,256.00
Residential 558 $9,136,644.45 866 $9,178,372.86
Industrial & Commercial 11 $196,132.59 20 $1,066,225.46
Mechanical 434 $0.00 425 $0.00
Mechanical (SF & TH)240 $0.00 304 $0.00
TOTALS 1303 $34,033,971.54 1695 $43,756,573.32
Summary of Fees Collected JUNE 2022 JUNE 2021 YTD 2022 YTD 2021
General Fund 64,418.51 124,324.62 521,690.53 674,142.62
Trunk Reserve Fund 5,895.00 47,500.00 120,270.00 177,700.00
Water Storage Fund 0.00 $6,160.00
Water and Sewer Fund 3,400.00 9,370.00 47,640.00 67,530.00
Metro Council SAC 7,455.00 62,125.00 131,705.00 233,590.00
State Surcharge 1,269.99 3,630.33 15,408.65 19,852.28
Builders Fees and Deposits 17,500.00 27,500.00 221,500.00 204,700.00
TOTAL 99,938.50 274,449.95 1,058,214.18 1,383,674.90
Beverly Cox-Alexander
Beverly Cox-Alexander, Development Services Specialist Building Department
CITY OF PRIOR LAKE
BUILDING PERMIT SUMMARY
June 1, 2022- June 30, 2022
New
Residential
JUNE 2022 JUNE 2021
2022 YEAR TO DATE 2021 YEAR TO DATE
New
Residential
Additions
and
Alterations
Additions
and
Alterations
Mechanical permits include but are not limited to furnaces, water heaters, softeners, and fireplaces. They are flat-rate permit fees.
Mechanical (SF & TH) permits include required plumbing, heating, sewer and water and fireplace permits for new single family
residences. They are flat-rate permit fees.
CITY COUNCIL AGENDA REPORT
MEETING DATE:
PREPARED BY:
PRESENTED BY:
AGENDA ITEM:
GOAL AREA
OBJECTIVE:
July 18, 2022
Heidi Simon, City Clerk
Heidi Simon
June 2022 Animal Control Services Report
Public Safety
4.Ensure a safe and quality built environment.
RECOMMENDED ACTION:
Approve the June Animal Control Services Report as presented.
ALTERNATIVES:
ITEM: SC
1.Motion and second as part of the consent agenda to approve the June Animal Control
Services Report.
2.Motion and second to remove from the consent agenda for additional discussion.
ATTACHMENTS:
1.June Animal Services Report
City of Prior Lake I 4646 Dakota Street SE I Prior Lake MN 55372
CITY COUNCIL AGENDA REPORT
MEETING DATE:
PREPARED BY:
PRESENTED BY:
July 18, 2022
Jason Etter, Senior Accountant
Cathy Erickson, Finance Director
ITEM: 5D
AGENDA ITEM: Approval of a Resolution Accepting Donations and Grants to the
City During the 2nd Quarter 2022
GOAL AREA
OBJECTIVE:
High-Value City Services
1.Establish financial stability for all funds.
RECOMMENDED ACTION:
Approve the 2nd Quarter of 2022 Donations and Grants as submitted.
BACKGROUND:
The purpose of this agenda item is to consider acceptance of donations and grants made to the
City during April, May and June of 2022 and to authorize city staff to amend the budget for any
additional revenues received and expenditures that may be incurred to comply with grant
agreement and restricted donations.
Minnesota State Statute 465.03 requires that the City accept a grant or demise of real or personal
property and maintain such property for the benefit of its citizens in accordance with the terms
prescribed by the donor. In addition to being a legal requirement, this resolution encourages
transparency in government and accountability.
A resolution has been prepared that identifies the donations and grants that were received during
the second quarter of 2022 and the terms in which they were presented. If a donation or grant
was accepted under separate resolution, it has not been included in this current list. While it is
certainly our intent to include all donations and grants for the second quarter of 2022, we
recognize that we may have inadvertently missed some. Those will be addressed in subsequent
resolutions.
FINANCIAL IMPACT:
Certain donations and grants and their corresponding expenditures are reflected in the annual
budget due to their recurring nature. Acceptance of additional donations and grants may result
in additional or offsetting expenditures depending on the terms prescribed by the donor.
ALTERNATIVES:
1.Motion and second as part of the consent agenda to approve the 2nd Quarter of 2022
Donations and Grants as submitted.
2.Motion and second to remove the Donations and Grants from the consent agenda for
additional discussion.
ATTACHMENTS:
1.2022 2nd Q Resolution - Approval of a Resolution Accepting Donations and Grant
City of Prior Lake I 4646 Dakota Street SE I Prior Lake MN 55372
4646 Dakota Street SE
Prior Lake. MN 55372
RESOLUTION 22-
A RESOLUTION ACCEPTING SECOND QUARTER 2022 GRANTS AND DONATIONS
Motion By: Second By: --------
WHEREAS, MN Statute 465.03 requires that cities accept donations for the benefit of its citizens in
accordance with the terms prescribed by the donor; and
WHEREAS, MN Statute 465.03 requires that all gifts and donations of real or personal property be
accepted only with the adoption of a resolution of the governing body by two-thirds of its
members; and
WHEREAS, additional revenues received may require the City to incur additional expenditures in order to
comply with grant agreements and restricted donations; and
WHEREAS, the City has received the following donations of money, goods or property during April, May
and June of 2022:
Donor Value Designated Use
Shakopee Mdewakanton Sioux Community $250,000.00 2nd Quarter 2022 Police
State of Minnesota $22,659,65 Buildinq Inspector Grant
State of Minnesota $1,353.00 Hydrant Buddy Grant
City of Shakopee $469.91 2nd Quarter TZD Grant
Metropolitan Council $75.00 Water Efficiency Rebate Grant
Prior Lake Lions $1,500.00 My Sr Center Software
Prior Lake Lions $5,000.00 Lakefront Pavilion Technology
Prior Lake Lions $8,000.00 Carriage Hills Park
Prior Lake Lions $420.00 Club Prior Pool Table Repairs
Prior Lake Lions $5,000.00 Carriaqe Hills Park
Charlie's on Prior $15,000.00 Donation to the EDA
Miscellaneous $41.00 Wooden Box Donations
Gandhok $31.00 Club Prior Pantry
Shooters Billiards $100.00 Pool Cues and Chalk
Northern Star Scoutinq $25.00 Coin Carnival Game Host
Kelly Loose, Family of Kim Baver $2,275.00 72 Youth Fishinq Poles and Tackle
Jeffers Pond Elementary $760.00 Supplies for Hammock Forest
Tommy Simmonds -Eaqle Scout $250.00 Bow and Arrow Holders
Anqie Kluqherz (Bodies in Motion) $100.00 Coin Carnival Game Host
Kevin Lethert (Boathouse Brothers Brewing) $500.00 Chalk Fest Entertainment
Sponsorship
Matthew Haqe (The Concrete Guy) $250.00 Coin Carnival Game Host
Humana $15.00 Club Prior Eileens Cookies
Garden Club $12.00 Club Prior Garden Supplies
Anonymous $320.00 Clubl Prior Donations
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CITY COUNCIL AGENDA REPORT
MEETING DATE: July 18, 2022
PREPARED BY: Greg Skluzacek, Parks & Streets Supervisor
Christine Watson, Public Works Coordinator
PRESENTED BY: Andy Brotzler, Public Works Director/City Engineer
AGENDA ITEM: Field Striper Purchase Authorization
GOAL AREA High-Value City Services
OBJECTIVE: 3.Ensure sufficient resources and staffing to meet service
demands.
RECOMMENDED ACTION:
Authorize the purchase of a new field striper utility vehicle with GPS functionality.
BACKGROUND:
ITEM: SE
The 2022-2026 Equipment CIP includes the replacement of the field striper utility vehicle in 2023
for an estimated cost of $68,000. Staff is seeking authorization to expedite the purchase of the
field striper to this year. In conjunction with that change, staff notes that there are five trucks that
are scheduled for replacement in 2022 but are currently unavailable due to supply chain issues
(see Financial Impact section) that will more than offset the cost of the purchase of the field striper
in 2022.
City staff is responsible for the layout and re-striping of 25-30 soccer and football fields at Ponds,
Ryan, and Lakefront Parks. This task requires a significant amount of staff time and material
each year. This year, staff is testing new striping equipment with GPS technology that makes this
task much more efficient, accurate and cost-effective. The estimated annual savings with the
new equipment is 265 labor hours and $4,200 in paint, as detailed here:
Annual Summary (est) Current Unit GPS Unit
Cost Cost
Hours Equivalent Hours Equivalent
Sprinq Soccer Layout 70 $2,800 10 $400
Spring Re-Stripe 130 $5,200 75 $3,000
Fall Soccer Layout 60 $2,400 0 $0
Fall Re-Stripe 100 $4,000 60 $2,400
Football Layout 60 $2,400 10 $400
Paint (average per year) $6,700 $2,500
Total 420 $23,500 155 $8,700
*Field striping costs are reimbursed by the athletic associations at a rate of $0.06/linear foot.
The new equipment offers the following advantages over the current equipment:
•The staffing required for field layouts is reduced from two full-time employees to one.
City of Prior Lake I 4646 Dakota Street SE I Prior Lake MN 55372
CITY COUNCIL AGENDA REPORT
MEETING DATE:
PREPARED BY:
PRESENTED BY:
AGENDA ITEM:
GOAL AREA
OBJECTIVE:
July 18, 2022
Heidi Simon, City Clerk
Heidi Simon
Resolution Accepting VEGA-3 Grant Distribution
High-Value City Services
3.Ensure sufficient resources and staffing to meet service
demands.
RECOMMENDED ACTION:
ITEM: SF
Adopt a resolution authorizing staff to accept a $3,182.05 distribution from the Minnesota
Secretary of State as part of the VEGA-3 Grant.
BACKGROUND:
In December of 2021 as passed by resolution, the City of Prior Lake applied for $45,000 of the
$1,935,058.896 available of the Voting Equipment Grant (VEGA-3) administered by the
Minnesota Secretary of State. Priority was given by the Minnesota Secretary of State to cities who
had the biggest need to purchase and implement Assisted Voting Devices for electronic rosters.
FINANCIAL IMPACT:
The Minnesota Secretary of State granted the City of Prior Lake $3,182.05 to be applied toward
one new Assisted Voting Device.
ALTERNATIVES:
1.Motion and second as part of the consent agenda to adopt a resolution authorizing the
City of Prior Lake to accept VEGA-3 grant distribution.
2.Motion and second to remove this item for additional discussion.
ATTACHMENTS:
1.Scott Prior Lake VEGA3 Grant Agreement
2.22-VEGA-3 Grant Distribution Resolution
City of Prior Lake I 4646 Dakota Street SE I Prior Lake MN 55372
CITY COUNCIL AGENDA REPORT
MEETING DATE:
PREPARED BY:
PRESENTED BY:
AGENDA ITEM:
July 18, 2022
Heidi Simon, City Clerk
Rick Steinhaus, Fire Chief
Presentation of Badges to Two New Fire Fighters
Public Safety
ITEM: 6A
GOAL AREA
OBJECTIVE: 2.Enhance partnerships with community and public safety entities.
BACKGROUND:
It is an honored tradition in the fire service to present a firefighter with their badge after completing
their probationary training period. Firefighting has rich history dating back hundreds of years which
is reflected in the firefighter badge. Badge pinning signifies the introduction of department
members to their new duties and welcoming them to their new department. Fire Chief Rick
Steinhaus is proud to present the Prior Lake Fire Department Badge to new fire fighters:
•Tyler Gould #171
•Blake Lawrence #173
City of Prior Lake I 4646 Dakota Street SE I Prior Lake MN 55372